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
2326 - 2350 of 2374
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
abrdn SICAV I Global A Gros u. 10,20 0,17 1,292,824,057,472,918-7-2024
BSF MIP - Gwth IIC 4€ u. 137,49 0,50 1,302,874,8817,7810,938-7-2024
BGF ESG Flex Choice G A2hCNH k. 111,49 0,15 1,303,365,0814,528,149-7-2024
BGF AS MltAs Income A6 Hed 9,88 0,30 1,302,443,043,211,469-7-2024
SEB Total Expansiv 227,62 0,46 1,312,274,4021,9010,318-7-2024
BGF ESG Flex Choice G A6hCNH u. 109,41 0,16 1,313,244,7012,967,369-7-2024
BGF ESG Flex Choice G A10hCN u. 95,83 0,16 1,312,923,738,725,449-7-2024
PSV WACHSTUM ESG R u. 47,88 -0,25 1,31-0,87   9-7-2024
PSV WACHSTUM ESG S u. 62,47 -0,24 1,35-0,78-5,522,53-10,049-7-2024
PremiumStars Chance AT k. 315,39 0,32 1,382,264,1419,2112,189-7-2024
UBS(L)KSS Digital Trans €h P k.   -21,65 1,395,788,6829,4220,354-9-2023
UBS(L)KSS Digital Tran CHFhP k.   -18,76 1,434,718,9927,1213,3017-7-2023
VM Aktien Select T k. 127,71 0,09 1,440,312,3612,017,189-7-2024
FTIF Tem Gl Balanced A u. 21,76 -0,44 1,451,233,5311,816,7810-7-2024
GAM*Fd Global Growth Instit k. 37,77 -0,07 1,472,172,5713,596,648-7-2024
BGF ESG Flex Choice G A2 USD k. 10,75 0,19 1,472,325,1318,6811,7710-7-2024
AGIF Alz AS Multi Inc AMg h u. 6,67 0,43 1,472,507,8610,969,399-7-2024
BNPP Flx I Multi-Asset Boo C k. 28,86 0,03 1,487,819,5333,9823,658-7-2024
AGIF Alz AS Multi Inc AMg H£ u. 6,92 0,42 1,483,747,8012,5013,819-7-2024
BNPP Flx I Multi-Asset Boo I k. 115,14 0,06 1,517,929,8335,5724,448-7-2024
BNPP Flx I Multi-Asset Boo X k. 157.052,08 0,06 1,517,9910,0636,7425,008-7-2024
BGF ESG Flex Choice Gro A6h£ u. 11,56 0,17 1,543,586,4616,7111,649-7-2024
HGIF Managed Solutions - A A k. 12,64 0,52 1,565,508,8216,6215,859-7-2024
HGIF Managed Solutions - Am2 u. 8,45 0,51 1,565,167,7612,2213,639-7-2024
HGIF Managed Solutions A HKD k. 12,73 0,53 1,565,458,7716,6515,889-7-2024