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
170126 - 170150 of 170205
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
abrdn Sterling Inflation- I u. 0,91 -0,36 -1,182,140,96-4,52-4,3721-6-2024
abrdn Sterling Inflation- A u. 1,25 -0,37 -1,192,100,83-4,51-4,3521-6-2024
abrdn Sterling Inflation- A k. 1,74 -0,37 -1,192,090,542,13-0,9221-6-2024
abrdn Sterling Bond Fund Z k. 1,60 0,28 -0,122,411,6310,431,8321-6-2024
abrdn Sterling Bond Fund L k. 0,87 0,28 -0,132,371,519,981,6321-6-2024
abrdn Sterling Bond Fund L u. 0,78 0,28 -0,122,371,526,61-0,0121-6-2024
abrdn Sterling Bond Fund I k. 1,09 0,28 -0,132,371,509,881,5821-6-2024
abrdn Sterling Bond Fund I u. 0,94 0,28 -0,122,371,506,61-0,0221-6-2024
abrdn Sterling Bond Fund A u. 0,98 0,27 -0,142,321,386,61-0,0221-6-2024
abrdn Sterling Bond Fund A k. 1,35 0,28 -0,142,331,399,391,3721-6-2024
abrdn Multi-Asset Fund M k. 1,14 -0,10      27-10-2023
abrdn Multi-Asset Fund I k. 3,25 -0,09      27-10-2023
abrdn Multi-Asset Fund I u. 1,39 -0,09      27-10-2023
abrdn Multi-Asset Fund A u. 2,35 -0,09      27-10-2023
abrdn Multi-Asset Fund A k. 2,92 -0,09      27-10-2023
abrdn Latin American Equi M k. 1,03 1,17 1,42-10,39-12,30-8,47-14,4121-6-2024
abrdn Latin American Equi I k. 1,07 1,17 1,42-10,38-12,29-8,44-14,3921-6-2024
abrdn Latin American Equi A k. 0,98 1,17 1,41-10,42-12,39-8,84-14,5821-6-2024
abrdn Japanese Equity Z Acc k. 0,95 -0,07 -1,790,11-5,628,608,3221-6-2024
abrdn Japanese Equity Fun M k. 1,24 -0,07 -1,800,05-5,817,737,9121-6-2024
abrdn Japanese Equity Fun I k. 2,93 -0,07 -1,800,06-5,797,797,9421-6-2024
abrdn Japanese Equity Fun A k. 2,63 -0,07 -1,810,02-5,907,317,7121-6-2024
abrdn Global Equity Fund M u. 1,69 0,60 0,951,353,5717,7312,7221-6-2024
abrdn Global Equity Fund M k. 1,76 0,59 0,951,353,5618,5912,9721-6-2024
abrdn Global Equity Fund L u. 1,94 0,59 0,961,373,6417,7412,7221-6-2024