AILCX

American Beacon International Equity Fund Class C AILCX

Résultat net

EBITDA

P/E Ratio

Capitalisation

Performance

Periode AILCX AAISX AIEAX AAIPX CSVAX FOSCX FOSBX ANTUX SVOAX SUSYX
6M 21.11 % 21.61 % 21.57 % 21.70 % 18.87 % 18.26 % 18.41 % 20.80 % 11.39 % 11.32 %
YTD 29.65 % 30.45 % 30.52 % 30.60 % 23.35 % -1.16 % -0.99 % 33.54 % 8.50 % 8.51 %
1Y -3.09 % -1.37 % -2.24 % -2.13 % 10.75 % -9.02 % -9.04 % 8.58 % -7.95 % -7.95 %
3Y 38.33 % 41.48 % 39.55 % 40.19 % 52.37 % 3.18 % 3.12 % 39.32 % -4.20 % -4.26 %
5Y 21.51 % 25.64 % 23.06 % 23.73 % 31.29 % 20.27 % 20.35 % 33.88 % -7.72 % -7.78 %
10Y 1.22 % 6.41 % 3.74 % 4.44 % 35.01 % 30.35 % 30.93 % 6.30 % -9.87 % -9.93 %
Depuis le début 22.74 % 64.13 % 35.50 % 52.97 % 79.80 % 198.50 % 66.39 % 6.30 % 50.15 % -9.88 %

Dividende

American Beacon International Equity Fund Class C

American Beacon International Equity Fund Advisor Class

American Beacon International Equity Fund Class A

American Beacon International Equity Fund Investor Class

Columbia International Div Inc A

Tributary Small Company Fd Instl

Tributary Small Company Fund Institutional Plus Class

Non-U.S. Intrinsic Value Fund Investor Class

SEI Institutional Managed Trust - U.S. Managed Volatility Fund

SEI Institutional Managed Trust U.S. Managed Volatility Fund