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94076 - 94100 of 170955
FondsnaamKoers1 maand
(%)
YTD
(%)
1 jaar
(%)
5 jaar
(%)
10 jaar
(%)
Datum
Degussa Bank Pf Privat Aktiv u. 142,570,868,0321,689,035,4020-9-2024
JAMS Gl Eq AR Fd I€h k. 1,961,957,2110,276,70 20-9-2024
CB US Appreciation F$ k. 373,951,0517,9923,3612,0512,2820-9-2024
3 Bk Portfolio-Mix A u. 4,871,046,3310,662,852,6820-9-2024
LtIF I Inc Fd A k. 517,41-1,019,9012,435,31 20-9-2024
CMIGN Cont Eurp Eq Sub-Fd k. 16,990,629,1815,427,80 20-9-2024
M&G Global Dividend Stlg I k. 552,13-0,0711,5418,2410,32 20-9-2024
Raiffeisen-Nachhaltigkeit- T k. 152,610,282,982,200,902,4120-9-2024
BNYM IF Gl Inc NIS1 k. 3,101,9411,0711,288,579,9120-9-2024
FSIGU AS Properties Sec Fd I u. 4,902,162,934,97-5,56 20-9-2024
Raiff-Active-Commodities VTA k. 70,180,202,04-3,094,22-1,5420-9-2024
MS EUR Strategic Bd A k. 51,720,292,128,54-1,660,8120-9-2024
NB HY Bd $E k. 11,331,164,896,320,98 20-9-2024
MediBB PREMIUM COUPON CO SDI u. 8,350,493,827,39-0,91 20-9-2024
NB US RE Sec Fd ZAR E k. 227,397,4217,6434,340,89 20-9-2024
HGIF Asean Eq A k. 21,559,6120,4320,180,692,9720-9-2024
AES Rendite Selekt u. 59,390,413,024,951,401,0420-9-2024
R 248-Fonds VTI k. 116,030,570,223,60-3,36 20-9-2024
WA Mcr Opp Bd A CHFh k. 99,29-0,25-6,806,42-0,69 20-9-2024
JAMS Pac Eq Fd A$ k. 5,590,9016,0622,128,536,3520-9-2024
FF Asian High Yield Y€ k. 9,900,529,4610,89-4,82 20-9-2024
BNYM IF MltAs Inc F u. 1,251,066,116,922,58 20-9-2024
BNYM GF Gl EM Opp €Hh k. 1,021,805,319,534,09 20-9-2024
Pic ShTm EM Corp Bds HZ€ k. 86,891,006,208,871,32 20-9-2024
NB ShDur HY Bd Fd CNY A u. 82,230,732,115,620,80 20-9-2024