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
51 - 75 of 170320
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
abrdn Global Equity Fund A u. 3,45 -0,52 -2,330,842,0712,659,0630-5-2024
abrdn Global Equity Fund A k. 4,07 -0,52 -2,330,842,0712,869,0930-5-2024
abrdn Global Equity Fund I u. 2,44 -0,52 -2,320,882,1912,509,0330-5-2024
abrdn Global Equity Fund I k. 4,40 -0,52 -2,320,872,1813,379,3030-5-2024
abrdn Global Equity Fund L u. 1,89 -0,52 -2,320,892,2512,509,0130-5-2024
abrdn Global Equity Fund L k. 2,00 -0,53 -2,320,892,2513,659,4130-5-2024
abrdn Global Equity Fund M k. 1,72 -0,52 -2,320,872,1813,329,2830-5-2024
abrdn Global Equity Fund M u. 1,65 -0,52 -2,320,872,1712,499,0330-5-2024
abrdn Japanese Equity Fun A k. 2,63 -0,48 -1,32-1,50-2,617,066,9030-5-2024
abrdn Japanese Equity Fun I k. 2,93 -0,48 -1,31-1,46-2,507,547,1030-5-2024
abrdn Japanese Equity Fun M k. 1,24 -0,48 -1,32-1,46-2,527,487,0830-5-2024
abrdn Japanese Equity Z Acc k. 0,95 -0,48 -1,30-1,40-2,328,357,4430-5-2024
abrdn Latin American Equi A k. 1,04 -1,56 -3,49-4,41-5,502,50-9,3330-5-2024
abrdn Latin American Equi I k. 1,14 -1,55 -3,48-4,38-5,392,94-9,1730-5-2024
abrdn Latin American Equi M k. 1,10 -1,56 -3,48-4,38-5,402,92-9,1830-5-2024
abrdn Multi-Asset Fund A k. 2,92 -0,09      27-10-2023
abrdn Multi-Asset Fund A u. 2,35 -0,09      27-10-2023
abrdn Multi-Asset Fund I u. 1,39 -0,09      27-10-2023
abrdn Multi-Asset Fund I k. 3,25 -0,09      27-10-2023
abrdn Multi-Asset Fund M k. 1,14 -0,10      27-10-2023
abrdn Sterling Bond Fund A u. 0,95 -0,41 -1,300,060,293,18-3,4530-5-2024
abrdn Sterling Bond Fund A k. 1,31 -0,41 -1,300,060,295,87-2,1230-5-2024
abrdn Sterling Bond Fund I u. 0,91 -0,40 -1,290,100,403,18-3,4830-5-2024
abrdn Sterling Bond Fund I k. 1,06 -0,41 -1,290,100,406,34-1,9430-5-2024
abrdn Sterling Bond Fund L u. 0,76 -0,41 -1,290,100,413,18-3,4830-5-2024