KBC AM - ČSOB IS, Aktualne notowania funduszu

Najnowsze wyniki funduszy spółki, Aktualne notowania funduszu KBC AM - ČSOB IS, Ilość funduszy 37.
Fundusze powiernicze, Wszystkie spółki

Fundusze zarządzane Waluta Rok/tydzień Data Kurs Zmiana
tydzień
Zmiana
miesiąc
Zmiana
rok
WAN łącznie
mil.
Access India (Horizon) BE0944666800 USD 2025/31 30.7.2025 2492.6900 -2.13% -4.57% -6.70%
KBC Eco Fund Alternative Energy BE0175280016 EUR 2025/31 30.7.2025 484.4000 -0.17% 2.20% -3.96%
KBC Eco fund Climate Change BE0946844272 EUR 2025/31 30.7.2025 761.1200 0.36% 2.34% 5.78%
KBC Eco Fund Sustainable Euroland BE0175718510 EUR 2025/31 30.7.2025 746.8500 -0.36% 1.14% -1.09%
KBC Eco Fund Water BE0175479063 EUR 2025/31 30.7.2025 2429.8600 1.22% 1.38% 2.11%
KBC Eco Fund World BE0133741752 EUR 2025/31 30.7.2025 1802.8200 2.08% 3.18% 11.99%
KBC EQUITY FUND AMERICA BE0126162628 USD 2025/31 30.7.2025 5615.0000 0.03% 1.34% 17.45%
KBC Equity Fund Belgium BE0129009966 BE0129009966 EUR 2025/31 30.7.2025 204.2400 -0.52% 1.70% 11.88%
KBC EQUITY FUND EURO CYCLICALS BE0172711518 EUR 2025/31 30.7.2025 1586.2000 2.53% 3.74% 11.67%
KBC Equity Fund Europe BE0126161612 BE0126161612 EUR 2025/31 30.7.2025 2553.4100 0.38% 2.11% 15.54%
KBC EQUITY FUND EUROZONE BE0175979211 EUR 2025/31 30.7.2025 840.7800 0.86% 1.56% 16.87%
KBC EQUITY FUND FALLEN ANGELS BE0170815956 EUR 2025/31 30.7.2025 1609.7100 -0.80% 0.08% 10.28%
KBC EQUITY FUND FINANCE BE0166985482 EUR 2025/31 30.7.2025 983.5000 0.23% 2.42% 13.48%
KBC EQUITY FUND FLANDERS BE0164243223 EUR 2025/31 30.7.2025 4518.8500 -0.85% 1.12% 9.10%
KBC EQUITY FUND FOOD & BEVERAGES BE0170241062 EUR 2025/31 30.7.2025 2936.2700 0.56% 0.53% 7.41%
KBC EQUITY FUND JAPAN BE0126163634 JPY 2025/31 30.7.2025 110226.0000 -1.45% 3.38% 19.06%
KBC EQUITY FUND MEDIA BE0171890065 EUR 2025/31 30.7.2025 197.9000 0.61% 2.17% 23.92%
KBC EQUITY FUND MEDICAL TECHNOLOGIES BE0170813936 USD 2025/31 30.7.2025 6732.3600 0.54% -1.07% 3.23%
KBC EQUITY FUND MILLENIUM BE0167243154 EUR 2025/31 30.7.2025 242.5800 1.47% 3.01% 8.23%
KBC EQUITY FUND NEW ASIA BE0146025409 EUR 2025/31 30.7.2025 1074.2000 0.81% 2.59% 9.00%
KBC EQUITY FUND NEW MARKETS BE0126164640 EUR 2025/31 30.7.2025 2279.2300 0.95% 2.23% 10.92%
KBC EQUITY FUND NEW SHARES BE0170533070 EUR 2025/31 30.7.2025 1785.9800 1.21% 2.47% 3.05%
KBC Equity Fund Pharma BE0166584350 BE0166584350 EUR 2025/31 30.7.2025 2496.0100 0.68% 1.44% -12.01%
KBC Equity Fund Technology BE0164241201 BE6213773508 USD 2025/31 30.7.2025 1095.5600 0.49% 1.68% 26.96%
KBC EQUITY FUND US SMALL CAPS BE0168342476 USD 2025/31 30.7.2025 2896.5100 -0.42% 0.08% 9.64%
KBC Equity Fund World BE0126177774 BE6213775529 EUR 2025/31 30.7.2025 790.6700 1.50% 3.33% 12.30%
KBC INDEX FUND EUROLAND BE0171536403 EUR 2025/31 28.7.2025 1344.5700 1.28% 2.08% 17.99%
KBC Master Fund Low BE0149027352 EUR 2025/15 8.4.2025 1214.6800 -1.76% -3.50% -0.23%
KBC Master Fund Medium BE0145346400 EUR 2025/9 27.2.2025 1760.9500 -1.13% -0.82% 9.92%
KBC MULTI CASH CSOB CZK BE0173476400 CZK 2025/31 30.7.2025 149.7120 0.06% 0.22% 3.37%
KBC MULTI CASH CSOB CZK MEDIUM BE0940482673 CZK 2025/31 30.7.2025 147.9310 0.01% 0.09% 2.84%
KBC MULTI CASH USD BE0137788486 USD 2025/31 30.7.2025 6539.3660 0.05% 0.29% 4.33%
KBC Renta CZECHRENTA - dividendová LU0095278775 CZK 2025/31 30.7.2025 17750.0600 -0.09% -0.58% -4.61%
KBC Renta Czechrenta LU0095279401 LU0095279401 CZK 2025/31 30.7.2025 39970.2100 -0.09% -0.58% -0.65%
KBC Renta Dollarenta LU0063916489 LU0063916489 USD 2025/31 30.7.2025 1134.8500 0.12% 0.10% -0.30%
KBC Master Fund High BE0149028368 EUR 2024/43 23.10.2024 1962.5000 -0.41% 1.40% -
Spravované fondy Datum
povolení
Typ
KBC Bonds Capital Fund LU0052032520  

Bieżący tydzień 31. rok 2025.
Źródła danych: Spółka inwestycyjna KBC AM - ČSOB IS
czas: 1 sierpnia 2025 17:20:29
Londyn czas: 1 sierpnia 2025 16:20:29
NY czas: 1 sierpnia 2025 11:20:29
Tokio czas: 2 sierpnia 2025 00:20:29


 
Zobrazit sloupec 

TOPlist