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AlgemeenRendementRating&RisicoKosten
170201 - 170225 of 170908
FondsnaamKoers1 maand
(%)
YTD
(%)
1 jaar
(%)
5 jaar
(%)
10 jaar
(%)
Datum
JPMF Managed Res Fd C H$h k. 113.682,72-0,982,992,151,96 5-9-2024
La Franç Trésorerie ISR I k. 113.692,930,322,774,081,040,495-9-2024
R-co Change Convert Eurp IC€ k. 113.888,041,864,266,97-0,30 4-9-2024
LyxIdx Smart Overnight Re C£ k. 113.959,000,425,045,502,54 21-8-2024
BNPP Flx I Flexible Co I RH€ k. 113.979,350,374,617,06  4-9-2024
AGIF Alz Eurp Eq Val W9-€ u. 113.994,445,876,219,605,94 5-9-2024
AGIF Allianz Credit Oppo WT9 k. 114.090,231,037,5012,442,43 5-9-2024
Mercer UCITS C Mercer Z1-0.0 114.097,544,318,0814,48  5-9-2024
LyxIdx Smart Overnight Re C£ k. 114.182,850,453,725,51  5-9-2024
AGIF Allianz Emerging Ma WT9 k. 114.250,530,256,057,771,85 5-9-2024
LyxIdx Smart Overnight Re C£ k. 114.255,000,493,845,552,14 6-9-2024
Sw(LU) Eq Fd Sust EM ST 114.350,863,208,4610,23  5-9-2024
AMUNDI ENH ULTRA ST BD SRI I k. 114.377,420,353,475,101,34 5-9-2024
AGIF Selective Gl HY IT2 (H k. 114.556,293,539,4813,68  5-9-2024
UBS(CH)IF Equities Switz U-X k. 114.708,002,383,495,64  5-9-2024
R-co R-co Conviction Cred I€ k. 114.731,750,532,765,430,77 4-9-2024
AVADIS AST AKTIEN EM IDX 115.073,803,166,007,98  5-9-2024
Arg Resp Utilities I k. 115.183,73     4-9-2024
AGIF Alz Dyn Cmdty W9 u. 115.195,85-2,912,83-6,002,70 5-9-2024
BNPP Global Enhanced Bond X k. 115.423,450,785,298,88  5-9-2024
AMSelect Janus Hender X CAPI k. 115.432,395,197,3115,13  4-9-2024
Alma Pl IV Syst Alpha R1C-N k. 115.495,433,20-0,141,85-0,95-0,914-9-2024
BNPP EUR HY ShDur Bd X k. 115.572,641,164,999,53299,39 23-8-2024
Solidum Cat Bond Fund EUR-I2 k. 115.599,881,656,9310,99  30-8-2024
CPR European Strategi Z EUR 115.642,425,335,6211,36  4-9-2024