PRNIX

Virtus NFJ Mid Cap Value Fund Institutional Class PRNIX

Résultat net

EBITDA

P/E Ratio

Capitalisation

Performance

Periode PRNIX PQNAX SVOAX SUSYX SEVIX TCVAX IDIVX LCRIX CSVAX DHLTX
6M 11.87 % 11.65 % 7.78 % 7.78 % 7.78 % 12.05 % 17.12 % 15.50 % 17.77 % 19.05 %
YTD 2.67 % 2.41 % 6.84 % 6.85 % 6.84 % 4.22 % 11.08 % 12.59 % 22.60 % 6.86 %
1Y -4.38 % -4.71 % -10.28 % -10.29 % -10.23 % -4.64 % 1.44 % 3.29 % 9.49 % -4.32 %
3Y -1.12 % -4.71 % -4.26 % -4.33 % -4.32 % 11.52 % 36.79 % 18.39 % 51.53 % 41.85 %
5Y -3.37 % -7.70 % -9.46 % -9.52 % -9.46 % 32.65 % 58.65 % 19.68 % 30.33 % 60.83 %
10Y 11.14 % 4.31 % -11.73 % -11.79 % -11.73 % 40.76 % 62.95 % 30.06 % 33.47 % 93.34 %
Depuis le début 74.66 % 208.83 % 47.86 % -11.26 % 9.53 % 132.40 % 104.50 % 35.92 % 78.69 % 150.00 %

Dividende

Virtus NFJ Mid Cap Value Fund Institutional Class

Virtus NFJ Mid Cap Value Fund Class A

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

SEI Institutional Managed Trust U.S. Managed Volatility Fund

SEI Institutional Managed Trust U.S. Managed Volatility Fund Class I

Touchstone Mid Cap Value Fund Class A

Integrity Dividend Harvest Fund Class A

Leuthold Core Investment Fund Class Institutional

Columbia International Div Inc A

Diamond Hill All Cap Select Fund Class I