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(%)
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Datum
GSF III GS Asian Debt XDMADH u. 134,944,383,4811,63-3,22 4-9-2024
BGF Sust Wrld Bd A2(H)£ k. 11,561,436,099,610,22 3-9-2024
MFS Meri Prudent Wealth AH1€ k. 14,843,991,576,231,69 4-9-2024
MFS Meri Gl Tot Ret W2$ k. 16,313,767,6811,385,40 4-9-2024
MFS Meri Gl Credit Fd W2$ u. 8,401,186,0811,371,77 4-9-2024
MFS Meri Eurp Val AH1CHF k. 23,664,402,635,967,87 4-9-2024
MFS Meri EM Debt IH1CHF k. 104,730,992,7312,071,59 4-9-2024
MFS Meri EM Debt I2£ u. 94,881,427,3211,461,33 4-9-2024
HGIF Gl Hg Inc Bd E H€ k. 10,500,963,658,73-1,71 4-9-2024
HGIF Gl Hg Inc Bd ACH€ k. 10,790,983,889,06-1,41 4-9-2024
HGIF Gl Hg Inc Bd E k. 48,81-0,554,307,800,01 4-9-2024
HGIF Gl Hg Inc Bd E k. 9,62-0,734,797,760,00 4-9-2024
GAM Mb EM Bd A€ u. 59,471,244,4612,33-1,04 3-9-2024
GSF III GS EM EQ Inc NC$ k. 122,933,7713,9316,874,29 4-9-2024
FF EM Eurp, MEA A-PLNh k. 12,713,5814,7822,50-0,64 4-9-2024
JPMIF Gl HY Bd A$ u. 94,12-0,286,429,564,33 4-9-2024
CSIF3 CSLEM Corp Bd Fd MB$ k. 1.370,95     15-12-2023
GSF III GS Eurom Bd XDM€ u. 260,16     7-9-2017
GSF III GS USD Cr IC€HGi k. 6.340,101,323,269,63-0,51 4-9-2024
BGF China Bd E2(H)€ k. 10,190,294,725,59-0,58 3-9-2024
BGF USD HY Bd A3(H)CAD u. 9,281,24-0,652,810,80 3-9-2024
WF Eq EM Opti ex China C CHF k. 102,513,995,9310,843,96 3-9-2024
HGIF Managed Solution AMhAUD u. 7,121,431,035,28-4,80 4-9-2024
AXA WF ACT EM SD B LC I CHFh k. 96,520,151,636,950,68 4-9-2024
GSF III GS Eu EQ Inc NC€ k. 636,466,199,3813,618,28 4-9-2024