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
170201 - 170225 of 170849
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
. LU1575045171 120.084,08 0,30  0,512,2312,196,5616-8-2024
BNPP EM MA Inc X RH E k. 120.110,90 -0,57 0,851,854,35  28-8-2024
BNPP EU Eq C k. 120.395,70 0,94 1,552,04-0,619,695,0929-8-2024
BNPPE MSCI EM xContrW Track k. 120.432,85 -0,18 0,26-0,281,609,858,5528-8-2024
UBS(CH)IF Equities Switz U-X k. 120.790,42 0,56 1,663,4710,5413,6210,7129-8-2024
CPR Euro High Dividend I u. 120.977,43 0,40 0,832,18-0,8912,287,8929-8-2024
AMSelect Robeco Global Equit k. 120.993,49 -0,38 0,23-1,010,7310,199,0728-8-2024
R-co Themat Fam Busines I€ k. 121.067,50 -0,42      23-6-2021
ManRiPr Man Alternative R A¥ k. 121.075,53 0,54  2,172,173,141,4828-8-2024
Sw(LU)EF Systematic Respo ST 121.153,56 0,77 0,981,36-0,2017,2111,2329-8-2024
GSF III GS EM Debt HC XCHUF k. 121.261,35 0,35 0,90-0,062,2611,175,7829-8-2024
H2O Multistrategies SP HI k. 121.536,18 -1,76 2,313,822,720,81-5,4429-8-2024
AGIF Allianz Emerging Ma WT9 k. 121.761,62 0,45 -0,810,110,4712,709,4930-8-2024
Ostrum SRI Cash A1P1 I k. 122.053,99 0,01 0,070,310,953,962,6329-8-2024
CPR Education O k. 122.112,37 0,05 0,77-0,902,389,642,9428-8-2024
. FR0011829134 IC 122.319,60 0,04 0,110,901,95  28-8-2024
Hugau Moneterme I k. 122.324,84 0,01 0,050,310,994,212,7428-8-2024
DNB Norge Selek B 122.353,61 0,29 0,94-0,50-4,0514,246,0029-8-2024
. FR0013258605 122.771,01 0,74 1,431,862,288,489,1829-8-2024
CSIF(L) Eq JP QAX¥ u. 122.802,00 0,52      7-4-2021
Amundi Act France ISR I k. 122.847,38 0,85 0,732,02-3,366,714,2029-8-2024
Allianz Equity Emergi 1 - D k. 123.062,60 -0,82    17,9113,4118-7-2024
Sw(CH)IFIII IEF MSCI® ST CHF 123.331,89 0,82 0,691,464,2721,7515,2429-8-2024
Amundi Actions Asie I k. 123.374,57 0,39 1,542,483,1613,947,6929-8-2024
AGIF Allianz Japan Small WT9 k. 123.648,32 0,87 1,091,954,779,798,3530-8-2024