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170826 - 170849 of 170849
FondsnaamKoers1 maand
(%)
YTD
(%)
1 jaar
(%)
5 jaar
(%)
10 jaar
(%)
Datum
BFT AUREUS ISR EC/D k. 104,040,322,653,98  1-9-2024
AMUNDI € Liq ST SRI PM 103,730,292,413,650,73 1-9-2024
Ostrum ISR Cash N k. 104,130,312,433,65  1-9-2024
Amundi € Liq SRI I2C k. 10.462,020,332,734,121,02 1-9-2024
Ostrum SRI M Pl I u. 102.214,870,322,712,450,69 1-9-2024
. FR001400ODL1 NULL 1,010,32    1-9-2024
BFT AUREUS ISR ID u. 99,540,322,724,09  1-9-2024
SG Monetaire ISR SG (C) k. 105,330,292,483,75  1-9-2024
CPR CASH P k. 23.346,300,312,603,930,880,341-9-2024
AMUNDI € Liq ST SRI I k. 11.441,380,322,643,990,930,411-9-2024
Ostrum ISR Cash R k. 104,150,302,453,67  1-9-2024
Ostrum SRI M Pl N€ k. 10.585,690,322,714,101,21 1-9-2024
NTGF The Euro Liquidity D€ k. 1,000,000,000,00  1-9-2024
Ostrum ISR Cash I k. 11.407,000,322,654,001,000,401-9-2024
AMUNDI € Liq ST SRI P k. 102,930,302,573,810,72 1-9-2024
Amundi € Liq SRI E-C k. 20.758,450,312,573,890,86 1-9-2024
NTGF The Euro Liquidity A€ k. 1,000,000,000,00  1-9-2024
BFT AUREUS ISR PC k. 104,930,312,643,94  1-9-2024
Aviva Monétaire ISR CT E k. 1.071,710,322,674,03  1-9-2024
Ostrum SRI M Pl I k. 108.788,680,322,714,101,01 1-9-2024
AMUNDI € Liq ST SRI SG (C) k. 10.528,090,302,493,76  1-9-2024
BFT AUREUS ISR IC k. 113,580,322,714,090,980,451-9-2024
. FR001400F8C7 101,960,301,90   1-9-2024
La Franç Trésorerie ISR TC k. 104,820,322,704,081,02 1-9-2024