BRXAX

MFS Blended Research International Equity Fund - Class A BRXAX

Résultat net

EBITDA

P/E Ratio

Capitalisation

Performance

Periode BRXAX ACEVX RYOFX JHYNX JHYAX JAHYX JHYRX DMIDX MNDAX USAWX
6M 14.90 % 12.48 % 11.48 % 2.32 % 2.32 % 2.46 % 2.32 % 11.83 % 13.88 % 13.04 %
YTD 38.13 % 40.46 % 6.33 % 2.18 % 2.04 % 2.18 % 2.18 % 10.23 % 16.71 % 19.82 %
1Y 28.67 % 31.71 % 1.56 % 1.21 % 1.22 % 1.21 % 1.22 % -8.08 % 11.23 % 8.80 %
3Y 57.69 % 57.16 % 15.25 % 6.69 % 6.54 % 6.69 % 6.70 % -2.31 % 38.12 % 55.50 %
5Y 49.46 % 43.58 % 6.78 % -11.35 % -11.36 % -11.35 % -11.36 % -13.38 % -15.34 % 24.11 %
10Y 85.41 % 56.11 % 38.01 % -5.18 % -5.19 % -5.18 % -5.19 % -15.33 % 33.07 % 36.53 %
Depuis le début 80.58 % -9.49 % 84.24 % -15.82 % -24.76 % -30.36 % -24.78 % -15.33 % 191.30 % 253.60 %

Dividende

MFS Blended Research International Equity Fund - Class A

American Century International Value Fund Investor Class

Royce Opportunity Fund Service Class

Janus Henderson High-Yield Fund - N Shares

Janus Henderson High-Yield Fund Class A

Janus Henderson High-Yield Fund - T Shares

Janus Henderson High-Yield Fund Class R

BNY Mellon MidCap Index Fund Class I

MFS Series Trust I - MFS New Discovery Fund Class A

USAA Sustainable World Fund Shares