Fondsen
Doorzoek alle in België verhandelde fondsen
Verfijnd zoeken naar fondsen die voldoen aan uw criteria
Fondsenzoeker
Turbo-list
Vergelijk Fondsen
Watch-list
Turbo-List
Beleggingsinstelling
Categorie Sector
AlgemeenRendementRating&RisicoKosten
26 - 50 of 5090
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
Nat IFLI WCM Select G F/A (E k. 96,88 0,00 1,153,384,4831,2023,7927-6-2024
Nat IFLI WCM Select G N1/A ( k. 130,97 0,00 1,153,424,6131,8824,1127-6-2024
Nat IFLI WCM Select G F/A (U k. 99,63 0,00 1,143,384,4831,2123,7927-6-2024
Nat IFLI WCM Select G R/A (S 91,13 0,00 1,133,354,37 23,6827-6-2024
Nat IFLI WCM Select G R/A (U k. 100,37 0,00 1,133,354,3730,6923,5527-6-2024
Nat IFLI WCM Select G RE/A ( k. 101,03 0,00 1,133,334,3030,2423,3427-6-2024
Nat IFLI WCM Select G R/A (S 123,72 0,00 1,043,244,37 23,6027-6-2024
Nat IFLI WCM Select G S2/A ( k. 125,21 0,00 0,993,114,6132,0924,6927-6-2024
Nat IFLI WCM Select G N1/A ( k. 103,54 0,00 0,983,084,4831,3924,3827-6-2024
Nat IFLI WCM Select G F/A (E k. 90,44 0,00 0,942,824,2230,4123,5727-6-2024
BGF Gl Allocation A2(H)PLN k. 22,56 0,27 0,930,701,3816,517,4728-6-2024
BGF Gl Allocation D2(H)PLN k. 24,64 0,24 0,920,711,5217,337,8428-6-2024
BGF Gl Allocation E2(H)PLN k. 21,07 0,24 0,880,581,1815,897,1728-6-2024
Carm Pf Patr F€ u. 74,10 0,45 0,832,762,25 7,9528-6-2024
BNPP EM MA Inc CRHA$ u. 32,65 0,40 0,793,816,433,305,2327-6-2024
BNPP EM MA Inc X RH E k. 113.342,50 0,00 0,782,353,71  27-6-2024
BNPP EM MA Inc B RH A u. 38,93 0,00 0,783,736,262,624,9227-6-2024
BNPP EM MA Inc C RH€ u. 44,33 0,59 0,772,223,351,114,5127-6-2024
BNPP EM MA Inc I RH€ k. 74,49 0,58 0,762,333,612,005,0327-6-2024
BNPP EM MA Inc PrgRH€ k. 84,25 0,57 0,762,273,551,844,9327-6-2024
BNPP EM MA Inc C RH€ k. 71,52 0,58 0,742,223,341,104,5127-6-2024
ATHR(B) Carmignac Patrimoine 24,16 -0,10 0,670,441,615,815,3328-6-2024
GSF GS AHYBP BaseSt u. 68,47 0,01 0,663,144,1014,2014,0528-6-2024
Systematic Dispersion Fund X k. 100,85 0,00 0,661,601,37-0,583,0427-6-2024
Systematic Dispersion Fund I k. 99,53 0,00 0,661,581,31-0,802,9427-6-2024