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
76 - 100 of 170146
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
abrdn Sterling Bond Fund L u. 0,78 0,27 1,531,762,767,670,058-7-2024
abrdn Sterling Bond Fund Z k. 1,61 0,28 1,541,802,8711,551,918-7-2024
abrdn Sterling Inflation- A u. 1,23 0,02 0,63-0,880,92-3,58-6,368-7-2024
abrdn Sterling Inflation- A k. 1,70 0,02 0,63-0,870,933,13-2,998-7-2024
abrdn Sterling Inflation- I u. 0,89 0,02 0,64-0,841,04-3,60-6,358-7-2024
abrdn Sterling Inflation- I k. 1,53 0,03 0,64-0,831,053,66-2,738-7-2024
abrdn Sterling Inflation- K k. 0,90 0,03 0,65-0,831,083,73-2,688-7-2024
abrdn Sterling Inflation- Z k. 2,03 0,73      5-3-2024
abrdn Sterling Money Mark A k. 1,23 0,05 0,321,052,706,075,548-7-2024
abrdn Sterling Money Mark A u. 1,03 0,05 0,321,051,822,033,568-7-2024
abrdn Sterling Money Mark I u. 1,03 0,05 0,321,051,822,033,568-7-2024
abrdn Sterling Money Mark I k. 1,26 0,05 0,321,052,726,175,608-7-2024
abrdn Sterling Money Mark M k. 1,09 0,05 0,311,052,716,115,578-7-2024
abrdn Sterling Money Mark Z k. 1,19 0,05 0,321,062,756,275,668-7-2024
abrdn Sterling Short Term A u. 1,10 0,14 0,511,221,494,781,788-7-2024
abrdn Sterling Short Term A k. 1,25 0,13 0,521,212,338,043,468-7-2024
abrdn Sterling Short Term I u. 0,96 0,14 0,531,251,494,781,808-7-2024
abrdn Sterling Short Term I k. 1,03 0,14 0,531,262,468,583,748-7-2024
abrdn Sterling Short Term P u. 1,11 0,14 0,531,261,494,681,808-7-2024
abrdn Sterling Short Term Z k. 1,54 0,14 0,531,272,528,803,848-7-2024
abrdn Strategic Bond Fund A u. 1,06 0,25 0,911,401,018,761,778-7-2024
abrdn Strategic Bond Fund A k. 1,64 0,24 0,911,402,6314,794,618-7-2024
abrdn Strategic Bond Fund I u. 0,92 0,26 0,921,451,028,761,788-7-2024
abrdn Strategic Bond Fund I k. 1,38 0,25 0,911,442,7515,314,868-7-2024
abrdn Strategic Bond Fund I u. 1,06 0,25 0,921,441,018,761,798-7-2024