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1 - 25 of 8432
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
DWS Inv AS Bds FCH50 k. 106,49 0,03 0,280,792,60 2,6718-7-2024
DWS Inv AS Bds AUD TFDMH u. 94,66 0,03 -0,620,774,885,673,0418-7-2024
HGIF Asia High Yield Bon PM2 u. 5,14 0,02 -0,30-0,860,26-0,214,1218-7-2024
HGIF Asia High Yield PChSGD k. 7,55 0,00 0,170,853,928,267,1818-7-2024
HGIF Asia High Yield PM3hSG u. 5,11 0,00 0,190,131,67-1,772,4618-7-2024
HGIF Asia High Yield PM3hAU u. 5,09 0,00 -0,501,084,85-1,423,2118-7-2024
HGIF Asia High Yield PM3hEU u. 5,12 0,00 0,411,172,67-3,122,9618-7-2024
HGIF Asia High Yield AM3hAU u. 5,06 0,00 -0,491,074,78-1,633,0918-7-2024
HGIF Asia High Yield Bon AM2 u. 5,10 0,00 -0,29-0,870,20-0,444,0018-7-2024
HGIF Global Emerging ZQOEUR u. 9,09 -0,01 -0,04-0,721,30-0,43-0,8418-7-2024
HGIF Asia High Yield Bo S40C k. 9,08 0,01 -0,280,073,1112,6910,3218-7-2024
HGIF Asia High Yield B S40M2 u. 7,04 0,01 -0,28-0,810,450,514,5518-7-2024
HGIF Global Emerging ZQOGBP u. 8,99 0,00 0,430,163,723,253,4318-7-2024
HGIF Global Emerging ZCHEUR k. 10,79 -0,02 -0,040,963,036,522,5318-7-2024
HGIF Gl EM ESG LD FC k. 14,74 -0,17 0,011,191,363,11-0,3618-7-2024
HGIF Gl EM ESG LD FC k. 16,31 -0,30 0,221,631,473,510,1118-7-2024
HGIF Gl EM Bd FCEUR k. 11,23 0,11 -0,54-0,511,0712,925,3218-7-2024
HGIF Gl EM ESG LD ZM1HJPY u. 9.577,25 -0,28 2,741,00-2,89  18-7-2024
HGIF IN FI AM3OJPY u. 9.872,91 -0,20 1,57-2,32-4,31  18-7-2024
HGIF IN FI AM3OGBP u. 9,96 -0,14 0,320,102,06 2,0818-7-2024
HGIF IN FI AM3OCAD u. 9,95 -0,15 -0,74-1,67-1,30 -3,0618-7-2024
HGIF AS Bd S47M3HSGD u. 10,00 0,01 -0,08-0,760,660,78-1,9218-7-2024
HGIF Asia High Yield Bond ZC k. 7,61 0,01 -0,280,123,2613,3610,7118-7-2024
HGIF Asia High Yield Bond BC k. 7,34 0,01 -0,290,053,0612,4310,1918-7-2024
HGIF Asia High Yield Bond AM u. 5,42 0,02 -0,32-0,670,852,054,7118-7-2024