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 592
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
AB I Concentrated Asia Eq S1 k. 83,33 0,00      24-5-2024
AB I Concentrated Asia Eq S1 k. 82,36 0,00      24-5-2024
AB I Concentrated Asia Eq S1 k. 78,29 0,00      24-5-2024
AB I Concentrated Asia Equ A k. 12,08 0,00      24-5-2024
AB I Concentrated Asia Equ A k. 11,48 0,00      24-5-2024
AB I Concentrated Asia Equ I k. 11,70 0,00      24-5-2024
AB I Concentrated Asia Equ I k. 12,45 0,00      24-5-2024
AB I Concentrated Asia Equ I k. 12,31 0,00      24-5-2024
AB I Concentrated Asia Equ S k. 79,69 0,00      24-5-2024
abrdn SICAV I Asian S A Acc k. 16,82 1,62 0,926,4112,2129,4317,9018-10-2024
abrdn SICAV I Asian S K Acc k. 17,37 1,62 0,946,5112,5230,8418,9318-10-2024
abrdn SICAV I Asian SDG Ah€ k. 10,36 1,62 0,595,089,1927,0515,2618-10-2024
abrdn SICAV I Asian SDG Ih€ k. 10,61 1,62 0,605,139,3627,8215,8218-10-2024
abrdn SICAV I Asian SDG E A$ k. 11,30 1,63 1,468,3010,0326,3519,0718-10-2024
abrdn SICAV I Asian SDG E A€ k. 12,32 1,80 1,458,259,9926,3019,3818-10-2024
abrdn SICAV I Asian SDG E I$ k. 11,58 1,63 1,488,3510,1927,1019,6418-10-2024
abrdn SICAV I Asian SDG E I€ k. 12,63 1,81 1,478,3010,1627,1019,9918-10-2024
abrdn SICAV I Asian SDG E K$ k. 11,77 1,63 1,488,3910,3127,6720,0718-10-2024
abrdn SICAV I Asian SDG E X$ k. 11,57 1,63 1,488,3510,1827,0919,6318-10-2024
abrdn SICAV I Asian SDG E Z$ k. 11,95 1,63 1,498,4110,4028,0920,3918-10-2024
abrdn SICAV I Asian SDG Equi k. 93,08 1,57 1,478,3110,0526,4119,1018-10-2024
Acatis Asia Pacific + Fds k. 77,90 0,95  1,234,8022,3110,9817-10-2024
Acatis Asia Pacific + Fds k. 77,25 0,04 1,16-0,164,7921,2011,1121-10-2024
ACATIS QILIN MarcPoloAS A u. 95,51 -0,44  18,3517,6119,7124,4817-10-2024
ACATIS QILIN MarcPoloAS B u. 9.750,62 -0,43  18,3817,7420,2924,9517-10-2024