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26 - 50 of 342
FondsnaamKoers1 maand
(%)
YTD
(%)
1 jaar
(%)
5 jaar
(%)
10 jaar
(%)
Datum
abrdn SICAV I Japanese Sm X2 k. 37,641,08-1,593,40-0,405,3519-7-2024
abrdn SICAV I Japanese Sm Z¥ k. 1.781,45     5-10-2020
abrdn SICAV I Japanese Sma D k. 10,191,18-1,652,70-1,124,5819-7-2024
abrdn SICAV I Japanese Sma D k. 12,55     21-6-2021
abrdn SICAV I Japanese Sma D k. 11,960,94-1,662,50-1,11 19-7-2024
abrdn SICAV I Japanese Sma S k. 212.426,06     21-6-2021
abrdn SICAV I Japanese Sma S k. 226.637,210,99-2,222,20-1,554,1219-7-2024
abrdn SICAV I Sel EUR H A1$h u. 10,43-1,221,038,893,63 19-7-2024
abrdn SICAV I Sel EUR H A1£h u. 18,300,602,528,963,49 19-7-2024
abrdn SICAV I Sel EUR H A2£h k. 45,151,086,0014,134,59 19-7-2024
abrdn SICAV I Sel EUR H I1$h u. 10,20-1,230,989,024,13 19-7-2024
abrdn SICAV I Sel EUR HY A£ u. 4,640,15-1,334,271,272,2119-7-2024
abrdn SICAV I Sel EUR HY A€ k. 25,710,692,099,232,312,7219-7-2024
abrdn SICAV I Sel EUR HY A€ u. 5,390,20-1,274,271,272,2119-7-2024
abrdn SICAV I Sel EUR HY A3 u. 8,870,20-1,274,271,28 19-7-2024
abrdn SICAV I Sel EUR HY A3 u. 10,44-1,231,008,873,62 19-7-2024
abrdn SICAV I Sel EUR HY I€ u. 9,100,21-1,284,38  19-7-2024
abrdn SICAV I Sel EUR HY I2 k. 19,740,732,439,872,92 19-7-2024
abrdn SICAV I Sel EUR HY I2 k. 0,00     25-7-2023
abrdn SICAV I Sel EUR HY R1 u. 9,450,15-1,344,371,722,3619-7-2024
abrdn SICAV I Sel EUR HY W1 u. 8,880,20-1,254,090,45 19-7-2024
abrdn SICAV I Sel EUR HY W2 k. 11,650,611,538,151,29 19-7-2024
abrdn SICAV I Sel EUR HY W2 k. 13,31-0,833,8712,903,62 19-7-2024
abrdn SICAV I Sel EUR HY X1 u. 9,110,21-1,284,371,732,3819-7-2024
abrdn SICAV I Sel EUR HY X2 k. 16,310,732,409,832,873,2819-7-2024