PRISX

T. Rowe Price Financial Services Fund PRISX

Résultat net

EBITDA

P/E Ratio

Capitalisation

Performance

Periode PRISX LVAEX PSILX NFJ TRRFX ARSIX LTFIX TIQIX GASFX EVV
6M 18.69 % 20.50 % 20.15 % 15.21 % 10.51 % 11.16 % 19.84 % 19.70 % 5.54 % 4.75 %
YTD 12.27 % 12.27 % 25.18 % 2.13 % 9.77 % 1.55 % 15.01 % 26.12 % 10.91 % 0.75 %
1Y 6.92 % 0.93 % 15.97 % -0.84 % 4.45 % 0.00 % 7.54 % 18.34 % 7.90 % -2.39 %
3Y 59.31 % 17.36 % 50.98 % 19.91 % 15.67 % 18.29 % 40.77 % 70.61 % 21.35 % 11.27 %
5Y 102.29 % 24.08 % 26.25 % 5.89 % -8.88 % 41.52 % 26.81 % 39.93 % 20.42 % -14.68 %
10Y 114.36 % 25.41 % 44.08 % -1.37 % 0.77 % 35.23 % 56.06 % 64.47 % 6.48 % -22.47 %
Depuis le début 377.60 % 26.27 % 76.50 % -48.53 % 30.49 % 17.02 % 85.59 % 76.94 % 199.00 % -49.90 %

Dividende

T. Rowe Price Financial Services Fund

LSV Value Equity Fund

T. Rowe Price Spectrum International Equity Fund

Virtus Dividend, Interest & Premium Strategy Fund

T. Rowe Price Retirement 2005 Fund

AMG River Road Small Cap Value Fund

Principal LifeTime 2055 Fund

Touchstone Non-US ESG Equity Fund

Hennessy Gas Utility Fund

Eaton Vance Limited Duration Income Fund