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94001 - 94025 of 170876
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Datum
SL(L) Bond ESG Euro H (EUR) k. 11.060,221,036,0111,17  26-9-2024
FF Sustainable Asian W-ACC- k. 1,029,858,0811,17  26-9-2024
SEI GMF High Yield Fixed Inc 11,680,911,2611,17  26-9-2024
JPMF Inc Fd C2 (mt u. 10,422,745,6911,17  26-9-2024
NB EM Debt Blend Fd £Ih u. 8,092,996,0311,17-1,06 26-9-2024
iMGP Sus Eurp P EUR k. 1.100,76-0,760,0411,17  25-9-2024
Thematics AAA Eurp Sele N/C€ k. 105,01-0,312,8111,17-0,14 25-9-2024
Amundi Rendement Plus IS R-C k. 108,891,204,7511,171,30 25-9-2024
KmpIF Kempen (Lux) Global AN k. 38,422,156,4311,179,17 27-9-2024
Pic Chinese LC Debt HK DY u. 155,312,636,8011,17  26-9-2024
Dorval Gl Convictions N k. 119,440,886,3411,173,81 25-9-2024
NFI JP Hg Conviction TI USD k. 103,322,191,5911,17  26-9-2024
iShVI Gl HY Cp Bd CHF CHFHD u. 74,070,630,9711,177,96 26-9-2024
Amu Emerging Markets Bon A2€ k. 52,451,377,2411,17  26-9-2024
DWS Str DB Strategic USD WA u. 8.769,081,899,1511,17  26-9-2024
BSF EM Flex Dyn Bd I3$ u. 72,880,994,1311,172,70 26-9-2024
JHF Abs Return I£ u. 6,261,9510,8311,175,07 26-9-2024
AMSelect DPAM Emergin Privil k. 110,591,122,1811,17  26-9-2024
iSh(DE)I SE600 PersHhGds U € u. 103,721,206,8811,176,81 27-9-2024
iShII BRIC 50 UETF $ u. 19,3314,3517,5511,17-4,071,5826-9-2024
IncoFS Pan Eurp Hg Inc A k. 25,540,955,4811,172,66 27-9-2024
Fund Channel I FCH Fideli A€ k. 53,041,222,3711,17  26-9-2024
GAM*Fd Credit Opp (USD) SI$ u. 10,471,178,2111,172,978,2926-9-2024
NM MultiFund Cons Base u. 99,451,045,1211,170,85 25-9-2024
GAM*Fd Credit Opp (USD) R k. 12,251,178,2111,173,28 26-9-2024