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AlgemeenRendementRating&RisicoKosten
170176 - 170200 of 170206
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
WT CS WT Cocoa 2x Dly Lev k. 53,90 3,14 16,43-27,04-41,12547,00322,4716-7-2024
GL X Fds Global X Hydrog USD 30,07 4,48  396,29459,39216,81344,1312-7-2024
FTF FTF Martin Currie UK E W u. 1,66 -0,30 0,882,125,021.008,02356,0215-7-2024
WT CS WT Cocoa 2x Dly Lev k.   0,00 0,00-24,52-25,90711,21429,723-7-2024
FTF UK Gilt W inc u. 0,80 0,33 0,9379,1184,47894,25465,2515-7-2024
WSF - DE000A1C0US1 834,70 0,82    549,93531,3924-5-2024
Slater Income Fund A u. 1,47 -0,03 1,004,60219,134.086,45553,0315-7-2024
Slater Income Fund B u. 1,57 -0,03 1,024,65219,464.098,37554,3415-7-2024
Slater Income Fund P u. 1,61 -0,03 1,024,67219,614.106,40554,9815-7-2024
FTF Sterling Corp Bd W inc u. 0,87 0,21 1,02101,46106,081.680,37716,0515-7-2024
Amu Emerging Europe A SP EUR k. 0,09 0,00  0,000,00800,00800,0011-7-2024
AGIF Alz Inc and Gwth WT$H2B k. 15.024,05 0,43 1,16-0,86851,78937,46862,6815-7-2024
FTF Temp Gl TR Bd Fd W u. 0,54 0,13 1,15174,44169,234.102,831.524,3215-7-2024
FTF Temp Gl TR Bd Fd W-H3 u. 0,47 0,27 2,50178,90178,644.094,781.533,2615-7-2024
FF Emerging Europe, M SP I-A k. 0,03 0,37 -97,21-97,222.812,67 2.619,4015-7-2024
FF EM Eurp, MEA SP A-Euro u. 0,04 0,00 -97,20-97,212.673,332.871,432.673,3315-7-2024
FF Emerging Europe, M SP Y-A k. 0,04 0,00 -97,20-97,222.826,252.745,462.702,0815-7-2024
FF EM Eurp, MEA SP A-GBP u. 0,05 0,19 -97,20-97,222.661,05 2.708,8915-7-2024
FF EM Eurp, MEA SP A-ACC-EUR k. 0,05 0,00 -97,21-97,222.729,412.906,252.729,4115-7-2024
FF EM Eurp, MEA SP A-ACC-USD k. 0,04 0,00 -97,20-97,222.638,792.785,072.741,1415-7-2024
FF Emerging Europe, M SP E-A k. 0,04 0,00 -97,20-97,212.746,67 2.746,6715-7-2024
FF EM Eurp, MEA SP A-USD u. 0,03 0,00 -97,20-97,212.655,082.802,252.758,0815-7-2024
FF Emerging Europe, M SP Y-A k. 0,03 0,00 -97,20-97,212.808,332.808,332.808,3315-7-2024
FF Emerging Europe, M SP A-A k. 0,04 -0,27 -97,21-97,222.788,38 2.842,0815-7-2024
Coeli Circulus Americ I Fond 11.528,73 1,19 2,840,79-0,9710.877,5610.481,9415-7-2024