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 170064
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
abrdn Global Equity Fund A u. 3,44 0,62 -1,30-2,880,8711,709,1031-7-2024
abrdn Global Equity Fund A k. 4,06 0,62 -1,30-2,880,8711,909,1331-7-2024
abrdn Global Equity Fund I u. 2,43 0,62 -1,29-2,840,9811,549,1531-7-2024
abrdn Global Equity Fund I k. 4,38 0,62 -1,29-2,840,9812,419,4231-7-2024
abrdn Global Equity Fund L u. 1,88 0,62 -1,29-2,821,0511,559,1831-7-2024
abrdn Global Equity Fund L k. 2,00 0,62 -1,29-2,821,0512,699,5831-7-2024
abrdn Global Equity Fund M k. 1,71 0,62 -1,29-2,850,9712,359,3931-7-2024
abrdn Global Equity Fund M u. 1,64 0,62 -1,29-2,850,9711,549,1431-7-2024
abrdn Japanese Equity Fun A k. 2,80 4,49 -1,60-0,151,4010,2810,0531-7-2024
abrdn Japanese Equity Fun I k. 3,12 4,50 -1,59-0,111,5110,7810,3331-7-2024
abrdn Japanese Equity Fun M k. 1,32 4,50 -1,59-0,121,5010,7210,3031-7-2024
abrdn Japanese Equity Z Acc k. 1,01 4,50 -1,58-0,051,7011,6110,8131-7-2024
abrdn Latin American Equi A k. 0,96 -0,62 -2,29-0,85-10,12-11,25-14,7531-7-2024
abrdn Latin American Equi I k. 1,06 -0,62 -2,28-0,81-10,02-10,86-14,5331-7-2024
abrdn Latin American Equi M k. 1,02 -0,63 -2,28-0,82-10,03-10,89-14,5531-7-2024
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. 0,99 0,34 0,152,054,916,271,2331-7-2024
abrdn Sterling Bond Fund A k. 1,36 0,35 0,162,054,929,042,6331-7-2024
abrdn Sterling Bond Fund I u. 0,95 0,35 0,162,105,036,271,2831-7-2024
abrdn Sterling Bond Fund I k. 1,10 0,35 0,172,095,049,532,9031-7-2024
abrdn Sterling Bond Fund L u. 0,79 0,34 0,162,095,046,261,2931-7-2024