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103276 - 103300 of 170209
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
AMUNDI GLOBAL AGGREG UCITS u. 44,13 0,35 0,940,922,075,882,6912-7-2024
NEF Obbli Convertibile PIR 14,82 0,27 0,411,092,079,864,7310-7-2024
Amu SoIT Obbligazionari B€AD u. 5,19 0,33  1,952,0711,616,8828-6-2024
Pim GIS Gl HY Bd Eh€ k. 24,15 0,21 0,400,822,078,741,9811-7-2024
JPMF Dvd Risk Fd X-£h u. 131,89 -0,17 -0,090,802,0717,0113,2511-7-2024
. LU2706208415 1.029,36 0,09 0,041,342,07  10-7-2024
XtrIE JPX-Nikkei400 UETF 1C u. 17,03 -0,19 0,451,072,0715,0310,7212-7-2024
IncoFS Pan Eurp Hg Inc I k. 11,38 0,18 0,350,442,0712,144,1211-7-2024
GSF III GS USD Cr PD€ u. 247,31 0,50 0,330,172,077,932,4411-7-2024
Pim GIS Gl IG Cred Eh€ u. 8,34 0,42 0,521,052,075,440,4111-7-2024
MainFrst EM CorpBdFdB D1-CHF u. 66,23 0,42 0,58-0,012,076,07-1,8211-7-2024
UBS(L)SS Inc Sus (€) P k. 105,54 0,32 0,381,052,075,551,8511-7-2024
GSF III GS Sus YOpp ZC€ k. 5.196,97 0,33 0,361,002,076,491,0211-7-2024
UBSAST Obligationen Globa IX k. 1.010,94 0,44 0,32-0,332,072,78-5,8211-7-2024
. LI1293285816 108,00 0,78  -0,202,07 4,3011-7-2024
BNYM GF Abs Ret Bd €C k. 112,74 -0,09 0,291,162,0710,325,0211-7-2024
UBS(L)BS USD High Yield Q k. 147,66 0,31 0,300,242,0713,115,5111-7-2024
DIVAS Gl Barrier Coup I$ u. 93,11 0,11 -0,68-0,292,074,795,479-7-2024
FF Gl MA Income D-€h k. 10,37 0,48 0,681,672,077,153,0811-7-2024
Nordea Premium AM Balanced K 15,60 0,51 0,180,872,0711,585,2711-7-2024
Nordea Premium AM Balance I€ 13,56 0,51 0,180,872,0711,585,2711-7-2024
ESG-AM FUND Multi Cre Multi k. 106,10 0,34 0,270,182,076,904,7911-7-2024
XtrII €z Gov Bd ShDySw UE 1C k. 83,42 0,59 0,000,322,072,346,4312-7-2024
GSF III GS USD Cr PC$ k. 1.542,67 0,51 0,330,172,077,962,4411-7-2024
Nrda1 Global HY Bd BI-$ k. 20,08 -0,06 -0,150,212,0711,734,8511-7-2024