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
93951 - 93975 of 170076
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
FTIF Tem Europ Sust Imp I Q€ u. 10,14 -1,27 -2,03-1,79-0,457,603,442-8-2024
BrwnAdv US Sust Gwth B k. 24,19 -1,87 0,20-4,172,6822,9213,181-8-2024
M&G Optimal Income SlgJ k. 120,29 0,45 1,863,234,7111,753,762-8-2024
M&G Optimal Income SlgJ u. 99,46 0,45 1,863,224,716,051,162-8-2024
BNYM GF Gl Sh-Dated HY B £Xh k. 1,29 0,05  1,444,2814,548,861-8-2024
BNYM GF BNY Mellon Mo CHF Eh k. 1,46 -3,55  -2,60-0,87-0,86-3,131-8-2024
ML UCTS Crabel Gemini $Inst 110,55 0,54 1,18-0,70-3,33-0,66-1,531-8-2024
LtGF Liontrust GF Absolut A1 k. 9,78 0,14 0,381,101,704,782,132-8-2024
LtGF Liontrust GF Absolut A5 k. 10,32 0,14 0,401,171,895,592,562-8-2024
LtGF Liontrust GF Absolut A5 u. 9,40 0,15 0,391,191,112,740,452-8-2024
LtGF Liontrust GF Absolut B1 k. 11,13 0,15 0,650,561,287,505,142-8-2024
LtGF Liontrust GF Absolut B5 k. 11,62 0,16 0,660,621,468,255,582-8-2024
LtGF Liontrust GF Absolut C5 k. 11,05 0,16 -0,310,932,948,835,672-8-2024
LtGF Liontrust GF High Yi A1 k. 11,30 -0,03 0,361,533,0510,804,712-8-2024
LtGF Liontrust GF High Yi A1 u. 8,68 -0,03 0,351,541,714,950,612-8-2024
LtGF Liontrust GF High Yi A5 k. 11,75 -0,02 0,381,583,2211,575,102-8-2024
LtGF Liontrust GF High Yi B1 k. 12,78 -0,02 0,630,972,6013,647,762-8-2024
LtGF Liontrust GF High Yi B1 u. 9,86 -0,02 0,630,971,287,803,592-8-2024
LtGF Liontrust GF High Yi B5 k. 13,31 -0,01 0,641,032,7814,448,212-8-2024
LtGF Liontrust GF High Yi B8 k. 10,59 0,36      11-5-2020
LtGF Liontrust GF High Yi C1 k. 12,01 -0,01 -0,331,314,0914,287,862-8-2024
LtGF Liontrust GF High Yi C1 u. 9,24 -0,01 -0,371,272,738,333,702-8-2024
LtGF Liontrust GF High Yi C5 k. 12,51 -0,01 -0,341,334,2515,048,282-8-2024
LtGF Liontrust GF High Yi C8 k. 9,80 -1,32      12-10-2022
FSIGU FS Gl Listed Infr F I€ k. 17,16 0,37 3,086,596,3011,469,852-8-2024