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 611
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
iSh DJ AsiPa SelDiv50 EUR (D u. 24,74 1,44 -1,09-1,33-0,0919,825,2812-7-2024
SPDR S&P Pan Asia Divid USD u. 42,55 2,04 -1,49-2,010,826,832,7012-7-2024
JHHF Asian Growth A2 USD k. 116,30 -0,04 0,304,075,8414,0413,3412-7-2024
RCGF Asia-Pacific Eq D€ k. 222,06 0,08 0,873,283,9618,1415,4412-7-2024
iSh DJ AsiPa SelDiv50 EUR (D u. 24,76 2,10 0,69-0,980,1019,805,4512-7-2024
AGIF Alz Oriental Inc A$ u. 200,30 0,07 0,873,403,8515,2912,8012-7-2024
DWS Top Asien L k. 228,49 -0,64 0,764,295,8321,2516,3212-7-2024
LINGOHR-ASIEN-SYST-INV u. 107,17 0,07 -1,160,952,6614,038,2312-7-2024
DWS Inv Top AS LC k. 321,45 0,49 0,353,154,678,6910,1212-7-2024
AGIF Alz Oriental Inc AT-$ k. 226,10 -0,70 0,212,733,5016,8312,4512-7-2024
Monega Chance u. 44,45 0,17 1,673,477,2012,1914,5612-7-2024
DWS Inv Top AS LD u. 287,02 -0,01 0,203,044,578,5810,0112-7-2024
DWS Inv Top AS NC k. 273,27 -0,30 0,872,626,518,289,7512-7-2024
Gamax AS Pac A k. 21,16 0,40 1,674,766,7013,5913,3412-7-2024
UBS(L)FS MSCI Pac Soc Resp A u. 72,71 -0,26 0,760,422,3911,496,4512-7-2024
iSh AsPac Div UETF $ u. 21,32 1,04 -0,62-1,48-0,2519,045,2012-7-2024
iSh AsPac Div UETF $ u. 21,30 1,40 -0,53-1,76-0,2819,085,0612-7-2024
JPMF ASEAN Equity A k. 22,32 0,03 0,352,332,405,895,8812-7-2024
JPMF Pacific Equity A$ u. 126,65 0,86 2,056,568,2813,7315,4912-7-2024
UBS(L)FS MSCI Pac Soc Resp A u. 72,62 0,19 1,813,093,3612,808,1712-7-2024
TRC Top Asien k. 149,10 0,08 1,034,105,0420,5315,5212-7-2024
FF Pacific A k. 24,18 0,64 0,00-2,11-2,136,980,9012-7-2024
AGIF Alz Oriental Inc EAPA2€ u. 213,66 0,14 0,873,334,0615,2412,6012-7-2024
SPDR S&P Pan Asia Divid USD u. 46,35 1,36 -1,80-2,271,336,832,4012-7-2024
VGFd Vanguard ESG Dev (USD) k. 6,34 0,08 1,321,831,3914,887,4012-7-2024