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(%)
Datum
WT IICAV EM SmCp Div USD Un u. 1.573,82 -1,64 -1,05-4,72-4,248,060,212-8-2024
WT IICAV EM SmCp Div USD Un u. 20,14 -1,20 -0,82-3,41-1,3013,966,652-8-2024
WT IICAV EM Eq Inc UETF Acc k. 26,52 0,28 1,16-1,911,8915,739,041-8-2024
WT IICAV EM Eq Inc UETF Acc k. 26,30 -0,79 -0,88-3,61-0,0214,068,262-8-2024
WT IICAV EM Eq Inc UETF Acc k. 25,67 -2,93 -2,52-6,35-2,4311,965,372-8-2024
WT IICAV EM Eq Inc UETF Acc k. 2.089,00 0,32 -2,40-6,02-3,5210,312,8531-7-2024
WT IICAV EM Eq Inc UETF Acc k. 23,84 -4,39 -0,85-5,42-0,6712,595,962-8-2024
WT IICAV EM Eq Inc UETF AC k. 15,77 0,31      7-8-2020
WT IICAV EM Eq Inc UETF u. 11,43 0,14      7-8-2020
WT IICAV EM Eq Inc UE USD Un u. 1.138,75 -2,76 -2,25-7,79-5,384,68-2,582-8-2024
WT IICAV EM Eq Inc UE USD Un u. 14,67 -2,00 -2,25-6,16-2,1112,305,572-8-2024
WT IICAV EM Eq Inc UE USD Un u. 13,39 -4,64 -3,56-6,11-2,7311,974,412-8-2024
WT IICAV EM Eq Inc UE USD Un u. 12,59 -5,05 -3,64-6,64-2,5711,083,972-8-2024
WT IICAV EM Eq Inc UE USD Un u. 14,09 0,00      13-2-2024
WT IICAV EM Eq Inc UE USD Un u. 15,03 0,28 1,16-1,911,8915,739,041-8-2024
WT IICAV Em Asia Eq Inc UETF u.   -1,23      28-7-2020
WT IICAV Em Asia Eq Inc UETF u. 8,42 1,02      26-8-2020
WT IICAV Em Asia Eq Inc UETF u. 8,33 0,59      7-8-2020
WMUF EM Wrld USD I k. 105,72 -0,15 1,44-0,842,0010,4710,461-8-2024
WMUF EM Wrld USD I k. 97,95 0,10 1,36-0,462,1810,4310,381-8-2024
WMUF EM Wrld USD I k. 82,64 0,25 1,31-0,381,9510,9410,771-8-2024
WMUF EM Wrld SGD In 141,09 0,00 1,37-0,732,0310,2910,381-8-2024
WMUF EM Wrld SGD In 105,62 0,00 1,44-0,842,0110,4310,461-8-2024
WMUF EM Wrld Retail A 87,17 0,00 1,36-0,492,069,8810,061-8-2024
WMUF EM Wrld Retail A 73,54 0,00 1,30-0,431,8310,3910,431-8-2024