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1 - 25 of 956
FondsnaamKoers1 maand
(%)
YTD
(%)
1 jaar
(%)
5 jaar
(%)
10 jaar
(%)
Datum
Xtr MSCI Eurp SmCp UETF 1 k.  0,0020,8820,887,51 28-5-2024
Xtr MSCI Eurp SmCp UETF 1 k. 60,02-1,526,1215,476,467,3311-7-2024
Xtr MSCI Eurp SmCp UETF 1 k. 60,01-1,676,1115,346,43 11-7-2024
Xtr MSCI Eurp SmCp UETF 1 k.       18-6-2021
Xtr MSCI Eurp SmCp UETF 1 k. 60,05-1,166,6316,326,547,4111-7-2024
Xtr MSCI Eurp SmCp UETF 1 k. 4.980,00-1,523,2513,905,137,989-7-2024
Xtr MSCI Eurp SmCp UETF 1 k. 59,60-2,176,5115,986,377,3011-7-2024
Xtr MSCI Eurp SmCp UETF 1 k. 64,12-1,196,5915,006,397,3410-7-2024
Xtr MSCI Eurp MdCp UETF 1 k. 177,36-1,668,8817,229,988,4710-7-2024
Xtr MSCI Eurp MdCp UETF 1 k. 163,58-1,739,0916,879,928,3811-7-2024
Xtr MSCI Eurp MdCp UETF 1 k. 13.726,00-1,635,6715,888,659,129-7-2024
Xtr MSCI Eurp MdCp UETF 1 k. 164,74-1,918,6917,3310,008,4311-7-2024
WT IICAV Eurp SmCp Div UETF u. 14,32     7-8-2020
WT IICAV Eurp SmCp Div UE AC k. 13,16     7-8-2020
WT IICAV Eurp SmCp Div U Acc k. 20,48-0,939,2418,187,18 10-7-2024
WT IICAV Eurp SmCp Div U Acc k. 1.748,20-0,476,1316,545,92 4-7-2024
WT IICAV Eurp SmCp Div U Acc k. 20,51-0,509,1418,027,27 11-7-2024
WT IICAV Eurp SmCp Div U Acc k.  -1,239,6018,187,30 9-7-2024
WT IICAV Eurp SmCp Div U Acc k. 20,54-0,659,9718,727,30 11-7-2024
WT IICAV Eurp SmCp Di EUR Un u.  2,293,683,686,46 29-11-2021
WT IICAV Eurp SmCp Di EUR Un u.  -0,489,9218,576,31 9-7-2024
WT IICAV Eurp SmCp Di EUR Un u. 1.617,80-3,111,5012,172,35 10-7-2024
WT IICAV Eurp SmCp Di EUR Un u. 19,28-0,978,4418,066,07 11-7-2024
WT IICAV Eurp SmCp Di EUR Un u.  -1,128,2218,706,11 1-7-2024
WT IICAV Eurp SmCp Di EUR Un u. 19,18-0,939,2418,186,08 10-7-2024