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
51 - 75 of 170160
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
abrdn Global Equity Fund A u. 3,45 0,00 -1,64-2,254,1814,3610,1822-7-2024
abrdn Global Equity Fund A k. 4,07 0,00 -1,64-2,254,1814,5710,2222-7-2024
abrdn Global Equity Fund I u. 2,44 0,01 -1,63-2,224,2914,1910,2222-7-2024
abrdn Global Equity Fund I k. 4,40 0,01 -1,63-2,224,2915,0810,4922-7-2024
abrdn Global Equity Fund L u. 1,89 0,01 -1,62-2,204,3614,2110,2522-7-2024
abrdn Global Equity Fund L k. 2,01 0,01 -1,63-2,204,3615,3710,6522-7-2024
abrdn Global Equity Fund M k. 1,72 0,01 -1,63-2,224,2815,0310,4622-7-2024
abrdn Global Equity Fund M u. 1,65 0,00 -1,63-2,224,2914,2010,2222-7-2024
abrdn Japanese Equity Fun A k. 2,70 -1,55 -0,504,506,0816,5012,5722-7-2024
abrdn Japanese Equity Fun I k. 3,01 -1,54 -0,494,546,1917,0212,8422-7-2024
abrdn Japanese Equity Fun M k. 1,28 -1,54 -0,494,546,1816,9612,8122-7-2024
abrdn Japanese Equity Z Acc k. 0,98 -1,53 -0,484,606,3917,9013,3122-7-2024
abrdn Latin American Equi A k. 0,99 -0,17 -3,112,29-4,01-5,36-12,6222-7-2024
abrdn Latin American Equi I k. 1,09 -0,17 -3,112,32-3,91-4,95-12,4122-7-2024
abrdn Latin American Equi M k. 1,05 -0,16 -3,112,31-3,92-4,99-12,4322-7-2024
abrdn Multi-Asset Fund A k. 2,92 -0,09      27-10-2023
abrdn Multi-Asset Fund A u. 2,35 -0,09      27-10-2023
abrdn Multi-Asset Fund I u. 1,39 -0,09      27-10-2023
abrdn Multi-Asset Fund I k. 3,25 -0,09      27-10-2023
abrdn Multi-Asset Fund M k. 1,14 -0,10      27-10-2023
abrdn Sterling Bond Fund A u. 0,98 -0,38 0,200,914,266,920,9022-7-2024
abrdn Sterling Bond Fund A k. 1,35 -0,38 0,200,914,269,712,2922-7-2024
abrdn Sterling Bond Fund I u. 0,94 -0,38 0,210,954,386,920,9322-7-2024
abrdn Sterling Bond Fund I k. 1,09 -0,38 0,210,954,3810,202,5522-7-2024
abrdn Sterling Bond Fund L u. 0,78 -0,38 0,210,954,396,920,9422-7-2024