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 716
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
FTIF Fran India N PLNh k. 33,30 1,77 3,105,0511,4147,4324,6520-9-2024
Pic Indian Eq HZ GBP k. 998,67 0,00 3,086,2812,7943,3729,5820-9-2024
AB I India Growth Ptf AD A$H u. 18,80 1,84 2,974,585,7332,3517,4920-9-2024
FTIF Fran India A€-H1 k. 19,20 1,75 2,734,639,8434,7421,9020-9-2024
FTIF Fran India W€-H1 k. 15,49 1,77 2,724,7310,0935,7622,4520-9-2024
SISF Indian Opp A1 k. 1.308,77 1,82 2,695,489,5344,2824,9920-9-2024
Mirae Sust IN Sect Leade R€H 24,72 0,00 2,534,798,1833,3323,7920-9-2024
WMF(I) India Focus Eq GBP E 10,00 1,71 2,385,471,23  20-9-2024
WMF(I) India Focus Eq GBP S 9,99 1,71 2,375,421,09  20-9-2024
WMF(I) India Focus Eq GBP N 9,98 1,71 2,375,411,05  20-9-2024
AB I India Growth Ptf APLNH k. 152,09 1,86 2,334,279,6843,7221,4920-9-2024
India Fund KNOK k. 549,87 2,06 2,224,713,2732,1523,6719-9-2024
HA INQQ Ind Int Accumu k. 7,87 1,54 2,214,678,02 22,0720-9-2024
abrdn SICAV I Indian Eq R2 k. 34,93 2,33 2,195,034,5131,7624,7520-9-2024
abrdn SICAV I Indian Eq D2 k. 193,27 2,33 2,184,964,3230,7724,0820-9-2024
abrdn SICAV I Indian Eq Y2 k. 33,75 2,36 2,145,004,4531,7224,6820-9-2024
FTIF Fran India W (acc) SEK k. 10,26 1,89 2,144,77   20-9-2024
abrdn SICAV I Indian Eq E2 k. 30,75 2,36 2,134,944,2530,7424,0120-9-2024
MGF India Equity Fund AA (SG k. 11,71 0,00 2,135,748,19  20-9-2024
MGF India Equity Fund AA (SG u. 2,60 0,00 2,135,748,2337,9024,7320-9-2024
MGF India Equity Fund AA (SG 1,42 0,00 2,125,748,2337,9024,7520-9-2024
FTIF Fran India A SEK k. 46,90 1,91 2,114,685,5530,7821,3220-9-2024
abrdn SICAV I Indian Eq Z1 u. 26,64 2,25 2,115,144,6732,3425,3720-9-2024
abrdn SICAV I Indian Eq Z$ u. 17,64 2,25 2,115,144,6732,5025,1220-9-2024
abrdn SICAV I Indian Eq Z2 k. 38,38 2,25 2,115,144,6633,1125,3620-9-2024