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
1 - 25 of 168564
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
BGF Dyn Hg Inc A6 Hedged JPY 1.015,00 0,00 1,376,243,97-1,00-3,8021-8-2024
BGF Gl MltAs Inc A6 Hed 1.008,00 0,00 0,676,664,38-1,69-4,6521-8-2024
JPMIF Global Short Du I2 (ac k. 107,13 0,11 0,101,112,317,013,0821-8-2024
JPMIF Global Short Du I (acc k. 108,71 0,11 -1,24-0,510,685,273,7421-8-2024
JPMIF Global Short Du C (acc k. 1.068,69 0,10 1,173,114,2811,710,3221-8-2024
JPMIF Global Short Du A (acc k. 106,55 0,11 0,081,052,166,432,7121-8-2024
BSF AM Dvd Eq AR Fd Class 122,48 0,45 1,572,663,9126,1711,6621-8-2024
BSF Gl Event Driven Class 107,38 -0,07 1,160,690,6211,190,8621-8-2024
JPMF Jap Eq A (acc) - SGD k. 11,73 0,17 3,44-0,656,3820,8812,4921-8-2024
BSF AsPac Abs Rtn A2 USD 112,26 -0,26 -0,980,490,849,795,7821-8-2024
BGF AS MltAs Income A6 Hed 9,92 -0,20 1,951,12-0,102,050,8121-8-2024
BGF Syst Gl Eq Hgh In A6 Hed 10,94 0,27 3,310,652,0612,368,1321-8-2024
DWS Inv ESG Asian Bon USD ID u. 103,23 0,33 -1,100,081,214,012,1621-8-2024
DWS Inv Top Div LDM u. 102,21 -0,16 1,870,360,1612,248,0021-8-2024
JPMF Inc Fd C2 (mt u. 10,33 0,10 0,021,541,925,881,2621-8-2024
JPMF Inc Fd C2 (mt u. 10,33 0,10 1,01-0,60-0,227,37-0,6821-8-2024
BGF US Flex Eq X2 Hedged GBP 11,90 0,00 4,520,543,1823,4915,6121-8-2024
BSF Eurp Abs Rtn Stgy Class 112,58 0,63 0,97-0,611,9111,597,9121-8-2024
DWS Inv € HY Corp FD50 u. 108,66 0,06 0,441,062,4710,165,1421-8-2024
BGF Gl Allocation A10 He 10,33 -0,10 2,611,841,6910,664,7321-8-2024
BGF Gl Allocation A10 USD 10,49 -0,10 1,52-0,90-1,038,134,4721-8-2024
JPMIF US Sel Eq C (acc k. 120,89 -0,13 3,743,178,6026,6012,6621-8-2024
BGF China Bd S2 Hedged EUR 10,58 0,09 0,190,671,546,454,8621-8-2024
BGF China Bd D2 Hedged SGD 10,57 0,00 0,011,722,358,235,4721-8-2024
BGF Gl Allocation S2 Hed 11,29 -0,09 2,821,352,6315,788,0321-8-2024