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FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
iShVII MSCI EM AS UETF $ k.   0,00 5,316,968,9117,0121,814-7-2024
WT IICAV EM Eq Inc UE USD Un u. 14,34 0,00 4,908,289,9124,9814,944-7-2024
FTIF Tem Fron Markets N PLNh k. 15,43 1,18 3,163,734,0032,6920,165-7-2024
SISF Emerging Markets Valu I k. 180,35 0,20 3,152,4410,1621,2514,585-7-2024
SISF Emerging Markets Valu S k. 176,29 0,20 3,142,399,9920,5114,225-7-2024
SISF Emerging Markets Val IZ k. 175,37 0,20 3,142,389,9520,3514,145-7-2024
SISF Emerging Markets Valu C k. 173,85 0,20 3,142,369,8820,0414,005-7-2024
FTIF Tem EM Fund I€-H1 k. 10,58 1,05 2,823,225,1712,557,855-7-2024
SISF Gl Em Mkt Opp A1 k. 74,92 0,17 2,794,095,5513,6211,775-7-2024
FTIF Tem EM Fund W€-H1 u. 7,86 1,03 2,773,175,0612,407,735-7-2024
FTIF Tem EM Fund W€-H1 u. 9,48 1,17 2,772,122,6615,038,195-7-2024
FTIF Tem EM Fund A€-H1 k. 9,38 1,08 2,743,194,9211,677,455-7-2024
SISF Front Mkts Eq PLNhA1 k. 700,74 0,41 2,674,142,5736,6119,315-7-2024
FTIF Tem EM Fund A€-H1 k. 10,50 1,16 2,641,842,2413,517,475-7-2024
WT IICAV EM SmCp Div USD Un u. 18,71 0,00 2,604,695,1220,2910,664-7-2024
FTIF Tem EM Sust.Fund W€-H1 k. 8,71 0,93 2,592,471,280,932,965-7-2024
FTIF Tem EM Sust.Fund I€-H1 k. 8,75 0,92 2,582,461,271,043,065-7-2024
Oaktr EM Eq Fd Rh€ k. 94,03 1,12 2,551,691,37-1,430,304-7-2024
FTIF Tem EM Sust.Fund W£-H1 k. 9,06 0,89 2,513,062,853,226,475-7-2024
FTIF Tem Fron Markets Z€h1 u. 10,92 1,20 2,513,183,7525,5718,135-7-2024
FTIF Tem Fron Markets N€-H1 k. 17,83 1,19 2,473,063,4824,0817,305-7-2024
Nrda2 Emerging Markets Respo k. 1.084,75 0,00 2,45    4-7-2024
FTIF Tem EM Sust.Fund A€-H1 k. 8,45 0,84 2,422,300,840,242,425-7-2024
FTIF Tem Fron Markets A€h1 k. 12,26 1,16 2,423,033,5524,7217,665-7-2024
M&G7 Gl Emerg Mkts StgPPH k. 124,00 0,58 2,402,223,5812,028,445-7-2024