ALMRX

Alger Mid Cap Growth Institutional Fund Class I ALMRX

Résultat net

EBITDA

P/E Ratio

Capitalisation

Performance

Periode ALMRX BIPSX DCGTX ICBAX MGSEX TGVNX GVEQX RYSIX NCVLX TRAMX
6M 13.13 % 70.43 % 12.91 % 10.50 % 20.76 % 16.22 % 12.06 % 42.97 % 5.75 % 11.42 %
YTD 18.77 % 44.65 % 6.85 % 8.79 % 39.07 % 18.27 % 16.07 % 46.84 % 3.51 % 22.11 %
1Y 12.34 % -10.21 % 0.09 % 1.33 % 35.76 % 3.67 % 12.78 % 47.51 % -7.10 % 9.19 %
3Y 68.94 % -15.13 % 17.64 % 12.82 % 38.27 % 36.20 % 61.48 % 141.56 % -4.37 % 30.33 %
5Y -38.67 % -38.35 % -32.09 % 36.34 % -42.45 % 47.70 % 61.13 % 148.15 % -13.02 % 53.91 %
10Y 32.54 % -30.06 % 91.10 % 54.12 % -3.22 % 59.02 % 136.51 % 682.00 % 4.79 % 67.87 %
Depuis le début 190.40 % 41.12 % 134.45 % 82.01 % 317.62 % 134.99 % 652.02 % 1 137.28 % 29.23 % 25.52 %

Dividende

Alger Mid Cap Growth Institutional Fund Class I

ProFunds Biotechnology UltraSector Fund Service Class

Jackson Square SMID-Cap Growth Fund IS Class

ICON Natural Resources & Infrastructure Fund Investor

AMG Veritas Asia Pacific Fund Class N

TCW Relative Value Mid Cap Fund Class N

Government Street Equity

Rydex Electronics Inv

Nuance Concentrated Value Fund Institutional Class

T. Rowe Price Africa & Middle East