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170151 - 170175 of 170911
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
DPAM B RE Eurp Div Sust A u. 157,36 1,44 2,478,263,4025,187,985-9-2024
DPAM B RE Eurp Div Sust B k. 223,58 1,45 2,488,273,4025,208,875-9-2024
HGIF Turkey Eq A k. 83,69 -0,40 2,48-1,70-9,838,0029,405-9-2024
HGIF Turkey Eq A u. 57,34 -0,40 2,48-1,69-9,838,0029,405-9-2024
Crown Alternat LGT Dy Series k. 959,79 0,43 2,48-1,507,185,678,605-9-2024
DWS Inv Gl Infr FCH P k. 1.598,72 0,28 2,487,688,6623,689,745-9-2024
DPAM B RE Eurp Sust B k. 460,22 1,52 2,498,924,1726,237,025-9-2024
ASR Property Fund FGR k. 30,23 1,57 2,499,064,8224,135,455-9-2024
DPAM B RE Eurp Sust A u. 299,19 1,52 2,498,924,1726,207,005-9-2024
HGIF Turkey Eq A£ k. 30,92 -0,29 2,49-1,73-9,968,0329,575-9-2024
HGIF Turkey Eq AD£ u. 28,33 -0,29 2,49-1,73-9,968,0329,575-9-2024
DPAM B RE Eurp Div Sust N k. 234,57 1,44 2,498,313,5826,098,535-9-2024
MrcrQIF Mercer LDI Fund M-2€ 92,18 1,55 2,49-0,603,409,36-4,765-9-2024
DPAM B RE Eurp Div Sust E u. 189,24 1,45 2,498,343,6126,298,625-9-2024
DPAM B RE Eurp Div Sust V u. 166,60 1,45 2,498,343,6126,298,625-9-2024
HGIF Turkey Eq BD u. 32,99 -0,40 2,49-1,62-9,647,9729,015-9-2024
DPAM B RE Eurp Div Sust M u. 162,37 1,45 2,498,333,5926,158,555-9-2024
MrcrQIF Mercer LDI Fu M - 8€ 206,35 1,56 2,49-0,583,469,63-4,605-9-2024
DPAM B RE Eurp Div Sust W k. 235,93 1,45 2,498,343,6226,298,625-9-2024
MS Global Infr A k. 57,00 0,09 2,505,738,8913,8511,295-9-2024
iShIV $ Treas Bd 20+Y AUD He 514,09 0,31 2,505,63   5-9-2024
AXA WF Europe RE Sec I€H k. 255,31 1,38 2,507,983,3423,596,905-9-2024
DPAM B RE Eurp Div Sust F k. 250,35 1,45 2,508,343,6226,298,635-9-2024
MrcrQIF Mercer LDI Fund M-1€ 95,21 1,56 2,50-0,583,469,56-4,645-9-2024
WT CS WT Silver 1x Dly Sh k. 5,89 0,00 2,50-7,42-0,75-20,41-18,345-9-2024