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
170226 - 170250 of 171065
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
JnsSel Janus Global Real I¥ k. 30.258,00 0,61 2,224,9712,4918,3012,6510-9-2024
Idx FTSE EPRA Nar Gl IG u. 1.140,57 1,39 2,566,2112,4917,4710,8310-9-2024
Africa Picking fund k. 90,65 0,09 0,098,3012,5016,46-1,159-9-2024
Idx FTSE EPRA Nar Gl AE u. 108,18 1,43 2,445,8812,5017,3510,2810-9-2024
Idx FTSE EPRA Nar Gl A3U u. 104,97 1,21 1,945,7112,5017,1510,2910-9-2024
GSF III GS Gl RE EQ XC€ k. 1.464,01 1,18 2,676,1512,5016,079,0110-9-2024
Idx FTSE EPRA Nar Gl AE k. 137,54 1,44 2,445,8812,5117,3410,2610-9-2024
BGF Wrld Gold A2h S$ k. 6,60 0,92 1,157,3012,5128,0320,6211-9-2024
CSIF(CH)III World ex CH R QA k. 1.182,22 1,24 2,315,7212,5116,578,8910-9-2024
Idx FTSE EPRA Nar Gl RE k. 133,65 1,44 2,455,8912,5217,4110,3110-9-2024
Nrda1 Gl RE Fd BI - CHF k. 205,23 0,00 0,645,7212,5218,6710,7611-9-2024
Idx FTSE EPRA Nar Gl I14G k. 1.186,65 1,39 2,576,2212,5217,6010,9210-9-2024
IE000GGQK173 10,25 0,77 2,766,3712,5317,689,0511-9-2024
Idx FTSE EPRA Nar Gl I13G-C k. 1.038,37 0,00 2,576,2212,5317,6310,9410-9-2024
Idx FTSE EPRA Nar Gl IE k. 1.388,63 1,44 2,445,8912,5317,4610,3510-9-2024
Idx FTSE EPRA Nar Gl UCITS u. 56,11 0,23 2,485,5112,5417,509,1811-9-2024
iSh Eurp Pro Yield UETF € u.   0,00 2,6811,2612,5445,5410,6310-9-2024
B&I Gl RE Sec S k. 149,70 0,00 2,656,7812,5413,787,6310-9-2024
NTIF The NT Developed Real E 11,93 0,00 2,626,2212,5419,2310,6210-9-2024
iShIV $ Treas Bd 20+Y CHFHD u. 3,23 0,71 2,185,4812,548,730,1910-9-2024
FSI Gl Ppty Sec B£h k. 1,26 0,97 1,727,6812,5517,6612,5911-9-2024
WT MAI WisdomTree Bund 10Y 3 k. 90,66 0,47 1,631,6512,5510,49-4,0510-9-2024
Idx FTSE EPRA Nar Gl A3E u. 108,36 1,43 2,445,9012,5517,5510,4010-9-2024
BNPPE FTSE EPRA/NAREIT Eu QD u. 7,25 -0,66 3,859,2112,5525,919,7011-9-2024
BLS III Tailored Fund LXVI I 5,00 0,00 1,372,0512,5519,323,2710-9-2024