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FondsnaamKoers1 maand
(%)
YTD
(%)
1 jaar
(%)
5 jaar
(%)
10 jaar
(%)
Datum
BluBay HY ESG Bd I-$ P k. 322,300,315,3510,606,107,5030-5-2024
RCGF HY Bd IH$ k. 351,900,143,627,854,707,3530-5-2024
BluBay HY ESG Bd I-$ k. 224,780,295,2610,375,777,1230-5-2024
AXA WF € Bds F€ u. 92,38-0,05-1,393,11-1,547,1031-5-2024
BluBay HY ESG Bd B-$ k. 270,870,305,2510,335,747,0830-5-2024
AB I Sus € HY Port S1$H k. 23,570,294,9312,034,766,8430-5-2024
UBS(L)BF Euro High Yield $hP k. 161,670,165,2010,945,186,8030-5-2024
MS Eurp HY Bd AH$ k. 39,13-0,065,1610,714,726,7531-5-2024
RCGF HY Bd DH$ k. 195,130,093,357,164,066,7030-5-2024
BluBay HY ESG Bd R-$ k. 289,430,255,019,725,286,6930-5-2024
AB I Short Dur HY Ptf S k. 27,61-0,104,218,975,256,6630-5-2024
RCGF HY Bd 0IH$ k. 187,480,143,627,854,536,6430-5-2024
AB I Sus € HY Port IT$H u. 13,540,294,8911,864,606,6430-5-2024
RCGF Fin Inst Bd DH$ k. 157,18-0,195,3411,153,806,6030-5-2024
EdR SICAV Financial Bon I-$H k. 152,840,345,9912,724,486,5230-5-2024
AXA IM FIIS EurpShDur HY A$H k. 180,66-0,194,587,204,586,2330-5-2024
AB I Short Dur HY Ptf S1 k. 25,87-0,124,028,424,746,1330-5-2024
AB I Sus € HY Port AT$H u. 13,540,294,7011,263,996,0730-5-2024
AB I Sus € HY Port AA$H u. 11,570,234,6511,273,996,0630-5-2024
RCGF HY Bd 0DH$ k. 171,930,093,357,163,906,0130-5-2024
AB I Short Dur HY Ptf IT u. 13,17-0,143,928,254,555,9630-5-2024
RCGF HY Bd IEH$ u. 108,680,14-0,933,112,025,9530-5-2024
AB I Short Dur HY Ptf I2 k. 25,18-0,143,958,244,555,9330-5-2024
EdR SICAV Financial Bon A-$H k. 141,180,305,7712,364,015,8730-5-2024
Pic EUR ShTm HY HI$ k. 214,91-0,194,578,284,125,7030-5-2024