LISIX

Lazard International Strategic Equity Portfolio Institutional Shares LISIX

Résultat net

EBITDA

P/E Ratio

Capitalisation

Performance

Periode LISIX RLITX CSVYX AOMIX AMKIX BIIEX FGADX FAMVX BEQGX TEDMX
6M 6.69 % 6.68 % 8.90 % 7.72 % 21.05 % 8.14 % 60.10 % 5.21 % 17.63 % 20.57 %
YTD 23.35 % 23.31 % 3.78 % 11.68 % 31.90 % 30.77 % 171.57 % 7.74 % 17.45 % 40.37 %
1Y 5.20 % 5.26 % -0.24 % 7.52 % 27.85 % 26.65 % 136.65 % -2.61 % 13.46 % 33.00 %
3Y 20.13 % 20.10 % 22.19 % 19.52 % 51.01 % 74.66 % 205.57 % 24.25 % 75.99 % 57.70 %
5Y -0.12 % -0.12 % 21.44 % -4.06 % 3.16 % 64.29 % 107.08 % 24.85 % 12.56 % 3.66 %
10Y 24.64 % 24.98 % 39.25 % 15.23 % 86.92 % 81.50 % 375.00 % 61.34 % 44.52 % 93.53 %
Depuis le début 65.90 % 21.24 % 70.01 % 68.18 % 342.77 % 118.96 % 305.49 % 966.90 % 294.40 % 163.20 %

Dividende

Lazard International Strategic Equity Portfolio Institutional Shares

Lazard International Strategic Equity Portfolio R6

Columbia Small Cap Value Fund I Institutional 3 Class

American Century One Choice Portfolio: Moderate Investor Class

American Century Emerging Markets Fund - I Class

Brandes International Equity Fund Class I

Franklin Gold and Precious Metals Fund Advisor Class

FAM Value Fund Investor Class

American Century Equity Growth Fund Investor Class

Templeton Developing Markets Trust Class A