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
1 - 25 of 5083
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
Ante F Nivalis Asia Fund USD k. 78,99 1,30 0,276,178,718,8913,383-7-2024
MWGaveK Asian Opp 123,10 0,72 1,396,156,2721,4619,493-7-2024
Nat IFLI WCM Select G S2/A ( k. 118,74 1,19 0,706,104,8132,3224,173-7-2024
Nat IFLI WCM Select G S2/A ( k. 160,42 1,19 0,706,094,8132,3124,163-7-2024
Nat IFLI WCM Select G N1/A ( k. 132,65 1,19 0,706,064,6831,6023,843-7-2024
Nat IFLI WCM Select G N1/A ( k. 106,44 1,19 0,696,054,6731,5923,813-7-2024
Nat IFLI WCM Select G I/A (U k. 104,25 1,18 0,696,044,6431,4523,763-7-2024
FS Expon Tech X u. 1.968,42 0,64 0,496,032,1524,9016,913-7-2024
FS Expon Tech Y u. 1.856,90 0,64 0,496,032,1424,8316,863-7-2024
MWGaveK Asian Opp A$ 180,03 0,71 1,366,015,8619,6318,553-7-2024
Nat IFLI WCM Select G F/A (E k. 98,11 1,19 0,696,014,5530,9323,513-7-2024
Nat IFLI WCM Select G F/A (U k. 100,90 1,19 0,696,014,5430,9423,503-7-2024
FS Expon Tech F u. 1.536,65 0,64 0,496,002,0625,8317,233-7-2024
FS Expon Tech S u. 1.851,51 0,64 0,496,002,0625,8617,243-7-2024
MWGaveK Asian Opp C k. 158,41 0,71 1,365,985,7319,0418,263-7-2024
FS Expon Tech I u. 1.774,71 0,64 0,485,981,9723,8516,373-7-2024
MWGaveK Asian Opp 114,10 0,32 1,185,976,4920,9319,023-7-2024
Nat IFLI WCM Select G R/A (U k. 101,64 1,18 0,685,974,4330,4123,263-7-2024
Nat IFLI WCM Select G R/A (S k. 92,28 1,18 0,685,974,43 23,403-7-2024
Nat IFLI WCM Select G RE/A ( k. 102,30 1,18 0,675,944,3529,9623,063-7-2024
FS Expon Tech P u. 1.831,17 0,64 0,475,931,8122,9615,863-7-2024
MWGaveK Asian Opp Sel€ 194,44 0,31 1,165,896,2219,7218,393-7-2024
MWGaveK Asian Opp A£ k. 263,85 0,32 1,155,856,0819,1318,103-7-2024
MWGaveK Asian Opp A€ k. 294,76 0,31 1,155,856,0819,1218,093-7-2024
MWGaveK Asian Opp A$ 166,88 0,31 1,155,856,0819,1218,093-7-2024