Fondsen
Doorzoek alle in België verhandelde fondsen
Verfijnd zoeken naar fondsen die voldoen aan uw criteria
Fondsenzoeker
Turbo-list
Vergelijk Fondsen
Watch-list
Turbo-List
Beleggingsinstelling
Categorie Sector
AlgemeenRendementRating&RisicoKosten
51 - 75 of 170139
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
CTSF CT Global Social Bon QA u. 1,06 0,37 0,230,772,288,193,348-7-2024
CTSF CT Gl Focus L - Gr k. 1,38 0,30 -0,264,057,9430,4121,538-7-2024
CTSF CT US Eq Inc Fd Instit k. 1,23 -0,36 -0,323,064,4119,3412,778-7-2024
CTIF CT American SmCo L - Gr k. 1,12 -0,82 -1,28-2,030,109,70-1,008-7-2024
CTSF CT Global Social Bon QI u. 1,02 0,37 0,240,772,318,203,378-7-2024
CTSF CT Global Social Bon ZI u. 1,02 0,37 0,230,772,268,073,308-7-2024
Fidelity Inves Fideli S Accu k. 108,20 -0,37 -0,371,59-3,72 3,138-7-2024
M&S UK Selection Portfol Acc k. 7,92 -0,14 1,570,266,2919,9111,678-7-2024
Squad Aguja Opport SI k. 997,01 0,13 0,88-0,954,315,335,078-7-2024
CTSF CT UK Sust Eq Fd IGA£ k. 1,06 0,24 1,11-0,306,7012,349,038-7-2024
CTIF CT Strategic Bond LG£D u. 0,95 0,09 0,191,262,4413,073,838-7-2024
FIF UK Agg Bd Fd Income u. 77,00 0,46 -1,06-0,67-0,526,46-2,758-7-2024
Agon AM UK Aegon Ethical C B u. 122,31 0,32 0,941,694,8616,655,768-7-2024
CTIF CT European Sele L Accu k. 1,21 -0,21 0,62-0,184,31 11,888-7-2024
CTSF CT Global Social Bon IA u. 1,06 0,37 0,230,762,268,103,318-7-2024
CTSF CT Global Social Bon II u. 1,02 0,37 0,230,762,268,093,318-7-2024
CTSF CT Global Social Bon XI u. 1,02 0,37 0,230,782,338,383,468-7-2024
CTIF CT American SmCo L Inco u. 1,05 -0,83 -1,28-2,030,107,70-1,008-7-2024
CTSF CT UK Mid 250 LGA£ k. 0,98 1,16 3,051,259,3413,7710,178-7-2024
M&S Worldwide Managed Inc u. 6,05 -0,03 0,361,143,7113,248,028-7-2024
M&S UK 100 Companies Inc u. 2,44 -0,45 0,71-0,305,5513,7210,018-7-2024
M&S UK 100 Companies Acc k. 5,13 -0,47 0,70-0,315,5117,4611,118-7-2024
M&S High Income Inc u. 0,88 0,32 0,691,201,105,641,428-7-2024
M&S High Income Acc k. 2,64 0,34 0,711,222,6011,924,338-7-2024
. GB00BRXCL641 1,14 -1,45 1,864,255,06 14,178-7-2024