NameDescending | ISINUnsorted | IssuerUnsorted | Last | Date / Time | Day % | SFDR |
---|---|---|---|---|---|---|
ACTIAM Duurzaam Euro Obligatiefonds EUR | NL0010579090 | ACTIAM N.V. | EUR 16,85 |
21 Mar 2023 | -0,53% | 8 |
ACTIAM Duurzaam Europees Aandelenfonds EUR | NL0010579074 | ACTIAM N.V. | EUR 27,17 |
24 Mar 2023 | -0,15% | 9 |
ACTIAM Duurzaam Index Aandelenfonds Europa EUR | NL0014332553 | ACTIAM N.V. | EUR 24,23 |
10:00 CEST | -0,98% | 9 |
ACTIAM Duurzaam Index Aandelenfonds Noord-Amerika EUR | NL0014332561 | ACTIAM N.V. | EUR 86,74 |
10:00 CEST | +1,60% | 9 |
ACTIAM Duurzaam Index Aandelenfonds Opkomende Landen EUR | NL0014332587 | ACTIAM N.V. | EUR 31,98 |
10:00 CEST | +1,49% | 9 |
ACTIAM Duurzaam Index Aandelenfonds Pacific EUR | NL0014332579 | ACTIAM N.V. | EUR 29,65 |
10:00 CEST | +0,30% | 9 |
ACTIAM Duurzaam Index Aandelenfonds Wereld EUR | NL0011309349 | ACTIAM N.V. | EUR 41,83 |
10:00 CEST | +0,87% | 9 |
ACTIAM Duurzaam Index Vastgoedfonds Europa EUR | NL0010579132 | ACTIAM N.V. | EUR 22,02 |
10:00 CEST | -2,57% | 9 |
ACTIAM Duurzaam Mixfonds Defensief EUR | NL0010579157 | ACTIAM N.V. | EUR 24,93 |
10:00 CEST | +0,28% | 8 |
ACTIAM Duurzaam Mixfonds Neutraal EUR | NL0010579165 | ACTIAM N.V. | EUR 25,34 |
10:00 CEST | +0,28% | 8 |
ACTIAM Duurzaam Mixfonds Offensief EUR | NL0010579173 | ACTIAM N.V. | EUR 21,98 |
10:00 CEST | +0,55% | 8 |
ACTIAM Impact Financial Inclusion Fund | NL0015000GU4 | ACTIAM N.V. | EUR 25,73 |
24 Mar 2023 | 0,00% | 9 |
ACTIAM Impact Wereld Aandelenfonds EUR | NL0010579124 | ACTIAM N.V. | EUR 43,27 |
10:01 CEST | +0,12% | 9 |
AEAM Global High Yield Fund (EUR) | NL0000685576 | Aegon Investment Management B.V | EUR 12,22 |
10:00 CEST | +0,33% | 8 |
ASN Biodiversiteitsfonds | NL0015000JW4 | ASN Beleggingsinstellingen Beheer B V | EUR 24,88 |
10:01 CEST | +0,24% | 9 |
ASN Duurzaam Aandelenfonds EUR | NL0014270225 | ASN Beleggingsinstellingen Beheer B V | EUR 141,72 |
10:00 CEST | -0,56% | 9 |
ASN Duurzaam Mixfonds Defensief EUR | NL0014270282 | ASN Beleggingsinstellingen Beheer B V | EUR 52,61 |
10:00 CEST | +0,21% | 9 |
ASN Duurzaam Mixfonds Neutraal EUR | NL0014270290 | ASN Beleggingsinstellingen Beheer B V | EUR 57,87 |
10:00 CEST | +0,05% | 9 |
ASN Duurzaam Mixfonds Offensief EUR | NL0014270308 | ASN Beleggingsinstellingen Beheer B V | EUR 65,94 |
10:00 CEST | -0,14% | 9 |
ASN Duurzaam Mixfonds Zeer Defensief EUR | NL0014270274 | ASN Beleggingsinstellingen Beheer B V | EUR 48,37 |
10:00 CEST | +0,31% | 9 |
ASN Duurzaam Mixfonds Zeer Offensief EUR | NL0014270316 | ASN Beleggingsinstellingen Beheer B V | EUR 71,74 |
10:00 CEST | -0,31% | 9 |
ASN Duurzaam Obligatiefonds EUR | NL0014270209 | ASN Beleggingsinstellingen Beheer B V | EUR 24,11 |
10:00 CEST | +0,63% | 9 |
ASN Duurzaam Small & Midcapfonds EUR | NL0014270217 | ASN Beleggingsinstellingen Beheer B V | EUR 48,53 |
10:00 CEST | -0,90% | 9 |
ASN Groenprojectenfonds EUR | NL0014270258 | ASN Beleggingsinstellingen Beheer B V | EUR 22,91 |
10:00 CEST | +0,35% | 9 |
ASN Milieu & Waterfonds EUR | NL0014270233 | ASN Beleggingsinstellingen Beheer B V | EUR 45,69 |
10:00 CEST | -0,28% | 9 |
ASN-Novib Microkredietfonds EUR | NL0014270266 | ASN Beleggingsinstellingen Beheer B V | EUR 53,72 |
10:00 CEST | +0,24% | 9 |
Beheerstrategie -Multi Manager Defensive Balanced | NL0013689219 | InsingerGilissen Asset Management N V | EUR 129,75 |
23 Mar 2023 | -0,31% | 8 |
Beheerstrategie -Multi Manager Equity | NL0013689193 | InsingerGilissen Asset Management N V | EUR 152,33 |
24 Mar 2023 | -0,63% | 8 |
Beheerstrategie - Multi Manager Balanced | NL0013689201 | InsingerGilissen Asset Management N V | EUR 133,74 |
11:00 CEST | +0,43% | 8 |
BNP PARIBAS ASIA PACIFIC HIGH INCOME EQUITY FUND Classic DISTRIBUTION | NL0006294175 | BNP Paribas Asset Management Nederland NV | EUR 58,82 |
05 Dec 2022 | -0,10% | 8 |
BNP PARIBAS ESG GLOBAL PROPERTY SECURITIES INDEX FUND Classic DISTRIBUTION | NL0006294092 | BNP Paribas Asset Management France | EUR 54,30 |
10:00 CEST | +2,05% | 9 |
BNP PARIBAS ESG NETHERLANDS INDEX FUND Classic DISTRIBUTION | NL0012727432 | BNP Paribas Asset Management France | EUR 203,59 |
10:00 CEST | -1,97% | 8 |
BNP PARIBAS GLOBAL INCOME MULTI-FACTOR EQUITY FUND Classic DISTRIBUTION | NL0006294167 | BNP Paribas Asset Management France | EUR 66,74 |
10:00 CEST | +1,17% | 8 |
DD Alternative Fund NV A | NL0009445915 | DoubleDividend Management BV | EUR 26,18 |
10:00 CEST | -0,68% | 9 |
DD Alternative Fund NV B | NL0010949350 | DoubleDividend Management BV | EUR 27,35 |
10:00 CEST | -0,69% | 9 |
DD Equity Fund A | NL0010511002 | DoubleDividend Management BV | EUR 217,27 |
10:00 CEST | +0,50% | 9 |
DD Income Fund A | NL0013025539 | DoubleDividend Management BV | EUR 22,80 |
10:00 CEST | -0,61% | 9 |
InsingerGilissen European Mid Cap Fund | NL0010986428 | InsingerGilissen Asset Management N V | EUR 77,65 |
24 Mar 2023 | +1,24% | 8 |
InsingerGilissen Real Estate Equity Fund | NL0000285591 | InsingerGilissen Asset Management N V | EUR 134,59 |
24 Mar 2023 | -1,56% | 8 |
Kempen European High Dividend Fund N | NL0000293348 | Kempen Capital Management N.V. | EUR 6,72 |
10:00 CEST | -1,18% | 8 |
Kempen European Property Fund | NL0009296649 | Kempen Capital Management N.V. | EUR 13,01 |
09 Dec 2022 | -0,46% | 8 |
Kempen European Sustainable Value Creation Fund N | NL0012512958 | Kempen Capital Management N.V. | EUR 124,25 |
09 Dec 2022 | -0,78% | 9 |
Kempen Global High Dividend Fund N | NL0006089229 | Kempen Capital Management N.V. | EUR 34,05 |
10:00 CEST | +0,06% | 8 |
Kempen Global Property Fund N | NL0012044739 | Kempen Capital Management N.V. | EUR 18,29 |
10:00 CEST | +2,52% | 8 |
Kempen Global Sustainable Equity Fund | NL0010558854 | Kempen Capital Management N.V. | EUR 105,23 |
09 Dec 2022 | +0,16% | 9 |
Kempen Orange Fund | NL0000289627 | Kempen Capital Management N.V. | EUR 123,08 |
10:00 CEST | -2,22% | 8 |
Kempen Oranje Participaties | NL0000440675 | Kempen Capital Management N.V. | EUR 226,07 |
02 Jan 2023 | +12,29% | 8 |
Kempen Profielfonds 0 N | NL0010610309 | Kempen Capital Management N.V. | EUR 21,71 |
06 Mar 2023 | -3,25% | 8 |
Kempen Profielfonds 2 N | NL0000290468 | Kempen Capital Management N.V. | EUR 35,56 |
10:00 CEST | +0,11% | 8 |
Kempen Profielfonds 3 N | NL0000290476 | Kempen Capital Management N.V. | EUR 38,34 |
10:00 CEST | -0,23% | 8 |
Kempen Profielfonds 4 N | NL0000290484 | Kempen Capital Management N.V. | EUR 40,47 |
10:00 CEST | -0,22% | 8 |
Kempen Profielfonds 5 N | NL0000290492 | Kempen Capital Management N.V. | EUR 43,24 |
10:00 CEST | +0,23% | 8 |
LSP Life Sciences Fund NV | NL0009756394 | LSP Advisory B.V | EUR 195,27 |
10:01 CEST | -0,38% | 8 |
NN Dutch Fund P DIS EUR | NL0000287993 | NN Investment Partners BV | EUR 66,52 |
02 Nov 2022 | +0,59% | 8 |
NN Duurzaam Aandelen Fonds P DIS EUR | NL0006311789 | NN Investment Partners BV | EUR 57,62 |
10:00 CEST | +0,98% | 9 |
NN Dynamic Mix Fund I P DIS EUR | NL0000293140 | NN Investment Partners BV | EUR 27,02 |
10:00 CEST | +0,45% | 8 |
NN Dynamic Mix Fund II P DIS EUR | NL0000293157 | NN Investment Partners BV | EUR 32,06 |
10:00 CEST | +0,60% | 8 |
NN Dynamic Mix Fund III P DIS EUR | NL0000293165 | NN Investment Partners BV | EUR 35,73 |
10:00 CEST | +0,90% | 8 |
NN Dynamic Mix Fund IV P DIS EUR | NL0000293173 | NN Investment Partners BV | EUR 39,07 |
10:00 CEST | +0,85% | 8 |
NN Dynamic Mix Fund V P DIS EUR | NL0000293181 | NN Investment Partners BV | EUR 41,05 |
10:00 CEST | +0,96% | 8 |
NN Emerging Europe Fund P DIS EUR | NL0000292225 | NN Investment Partners BV | EUR 34,12 |
01 Mar 2022 | -28,24% | 8 |
NN Enhanced Index Sustainable Emerging Markets Equity Fund P DIS EUR | NL0006311771 | NN Investment Partners BV | EUR 41,99 |
10:00 CEST | +1,18% | 9 |
NN Enhanced Index Sustainable Equity Fund A P DIS EUR | NL0012125736 | NN Investment Partners BV | EUR 29,92 |
10:01 CEST | +1,01% | 9 |
NN Enhanced Index Sustainable North America Equity Fund P DIS EUR | NL0015602392 | NN Investment Partners BV | EUR 6,31 |
10:01 CEST | +1,61% | 9 |
NN Equity Investment Fund P DIS EUR | NL0000286318 | NN Investment Partners BV | EUR 16,33 |
10:00 CEST | +0,86% | 9 |
NN Euro Obligatie Fonds P DIS EUR | NL0006311797 | NN Investment Partners BV | EUR 28,43 |
10:00 CEST | +0,42% | 8 |
NN Euro Rente Fonds P DIS EUR | NL0000442101 | NN Investment Partners BV | EUR 12,30 |
10:00 CEST | +0,41% | 8 |
NN Europa Duurzaam Aandelen Fonds P DIS EUR | NL0000292746 | NN Investment Partners BV | EUR 14,06 |
10:00 CEST | -0,85% | 9 |
NN Europe Fund P DIS EUR | NL0000292332 | NN Investment Partners BV | EUR 34,06 |
10:00 CEST | -1,07% | 8 |
NN Europees Deelnemingen Fonds P DIS EUR | NL0012817134 | NN Investment Partners BV | EUR 24,28 |
10:00 CEST | -2,22% | 8 |
NN First Class Obligatie Fonds P DIS EUR | NL0000286441 | NN Investment Partners BV | EUR 18,24 |
10:00 CEST | +0,39% | 8 |
NN Global Fund P DIS EUR | NL0006311805 | NN Investment Partners BV | EUR 108,77 |
10:00 CEST | +1,00% | 8 |
NN Global Obligatie Fonds P DIS EUR | NL0006311839 | NN Investment Partners BV | EUR 14,42 |
10:00 CEST | +1,05% | 8 |
NN Global Real Estate Fund P DIS EUR | NL0006311847 | NN Investment Partners BV | EUR 74,50 |
10:00 CEST | +1,93% | 8 |
NN Global Sustainable Opportunities Fund P DIS EUR | NL0009265404 | NN Investment Partners BV | EUR 43,22 |
10:00 CEST | +0,28% | 9 |
NN Hoog Dividend Aandelen Fonds P DIS EUR | NL0000289858 | NN Investment Partners BV | EUR 37,92 |
10:00 CEST | +1,15% | 8 |
NN Hoog Dividend Obligatie Fonds P DIS EUR | NL0006311813 | NN Investment Partners BV | EUR 17,11 |
10:00 CEST | -0,70% | 8 |
NN Lion Fund P DIS EUR | NL0006311862 | NN Investment Partners BV | EUR 29,12 |
10:00 CEST | +0,07% | 8 |
NN Premium Dividend Fund P DIS EUR | NL0006311748 | NN Investment Partners BV | EUR 12,98 |
10:00 CEST | -1,74% | 8 |
NN Sovereign XLT Bond Fund P CAP EUR | NL0010489373 | NN Investment Partners BV | EUR 25,83 |
16 Mar 2023 | -3,44% | 8 |
NN Wereldwijd Mix Fonds P DIS EUR | NL0000442077 | NN Investment Partners BV | EUR 12,75 |
10:00 CEST | +0,55% | 8 |
OBAM N.V. Classic DISTRIBUTION | NL0006294035 | OBAM NV | EUR 106,85 |
10:01 CEST | +0,20% | 8 |
Robeco Afrika Fonds A eur | NL0006238131 | Robeco Luxembourg S.A. | EUR 85,34 |
23 Mar 2023 | +1,09% | 8 |
Robeco Afrika Fonds EUR G | NL0010510822 | Robeco Luxembourg S.A. | EUR 74,82 |
11:00 CEST | +0,62% | 8 |
Robeco Global Total Return Bond Fund DH EUR | LU0934195610 | Robeco Institutional Asset Management BV | EUR 52,27 |
24 Mar 2023 | +0,44% | 8 |
Robeco QI Global Developed Conservative Equities Fund EUR G | NL0011354865 | Robeco Institutional Asset Management BV | EUR 124,86 |
11:00 CEST | +1,36% | 8 |
Robeco QI Global Developed Enhanced Index Equities Fund B | NL0011896998 | Robeco Institutional Asset Management BV | EUR 156,57 |
11:00 CEST | +0,44% | 8 |
Robeco QI Global Multi-Factor Equities Fund EUR G | NL0011354873 | Robeco Institutional Asset Management BV | EUR 152,38 |
11:00 CEST | +1,11% | 8 |
Robeco Sustainable Global Stars Equities Fund N.V. D | NL0000289783 | Robeco Institutional Asset Management BV | EUR 57,27 |
11:00 CEST | +0,93% | 8 |
Robeco Sustainable Global Stars Equities Fund N.V. EUR G | NL0010366407 | Robeco Institutional Asset Management BV | EUR 63,32 |
11:00 CEST | +0,94% | 8 |
Robeco US Conservative High Dividend Equities EUR G | NL0010619748 | Robeco Institutional Asset Management BV | EUR 48,55 |
11:00 CEST | +2,30% | 8 |
Rolinco N.V B (Rolinco EUR G) Dis | NL0010510798 | Robeco Institutional Asset Management BV | EUR 54,83 |
11:00 CEST | +0,46% | 8 |
Rolinco N.V CUMPREF | NL0000288736 | Robeco Institutional Asset Management BV | EUR 46,29 |
12 Oct 2022 | +1,31% | 8 |
Rolinco N.V Rolinco | NL0000289817 | Robeco Institutional Asset Management BV | EUR 50,41 |
11:00 CEST | +0,46% | 8 |
Sustainable Europe Index Fund | NL0009347574 | InsingerGilissen Asset Management N V | - | - | - | 8 |
Sustainable North America Index Fund EUR | NL0009486745 | InsingerGilissen Asset Management N V | - | - | - | 8 |
Sustainable World Index Fund | NL0009347566 | InsingerGilissen Asset Management N V | - | - | - | 8 |
Triodos Energy Transition Europe Fund Z1-cap | NL0013908692 | Triodos Investment Management B.V. | EUR 47,76 |
24 Mar 2023 | +1,79% | 9 |
Triodos Fair Share Fund | NL0013087968 | Triodos Investment Management B.V. | EUR 37,44 |
10:00 CEST | -0,24% | 9 |
Triodos Groenfonds | NL0000440204 | Triodos Investment Management B.V. | EUR 52,10 |
10:00 CEST | +0,37% | 9 |
Triodos Multi Impact Fund Z | NL0011327432 | Triodos Investment Management B.V. | EUR 25,80 |
10:01 CEST | +0,08% | 9 |
W.P. Stewart Holdings Fund EUR | LU0237484448 | AllianceBernstein L.P. | EUR 602,96 |
10:01 CEST | +1,41% | 8 |
W.P. Stewart Holdings Fund USD | LU0237485098 | AllianceBernstein L.P. | USD 665,68 |
10:01 CEST | +0,65% | 8 |