RSRFX

Reaves Utilities and Energy Infrastruct Fund Insti Shares RSRFX

Résultat net

EBITDA

P/E Ratio

Capitalisation

Performance

Periode RSRFX WAGTX RYPDX ETIGX RYCIX SAOAX SAOIX TGPNX MNWAX RYAWX
6M 13.81 % -0.04 % -6.40 % -2.58 % -6.28 % 1.76 % 1.88 % 6.19 % 2.79 % 16.33 %
YTD 17.85 % -11.76 % -3.71 % 0.00 % -3.38 % 44.69 % -3.37 % 8.71 % 6.41 % 13.88 %
1Y 18.20 % -11.89 % -12.83 % 4.98 % -11.50 % 40.51 % -5.98 % 0.65 % 4.73 % 19.61 %
3Y 31.46 % 10.08 % -22.41 % -3.49 % -18.52 % 73.12 % 16.67 % 18.41 % 20.29 % 57.38 %
5Y 17.62 % -53.50 % -32.00 % 6.78 % -26.21 % 76.92 % 20.04 % -0.32 % 15.08 % 59.61 %
10Y 15.68 % -44.91 % -30.57 % 32.20 % -22.33 % 64.57 % 16.49 % -1.04 % 30.45 % 178.02 %
Depuis le début 20.71 % 19.65 % 43.35 % 24.40 % 57.23 % 205.99 % 209.58 % 23.38 % 32.93 % 361.68 %

Dividende

Reaves Utilities and Energy Infrastruct Fund Insti Shares

Seven Canyons World Innovators Fund Investor Class

Rydex Consumer Products Fund Class A

Parametric Tax-Managed International Equity Fund Investor Class

Rydex Consumer Products Fund Class Investor

Guggenheim Alpha Opportunity Fund

Guggenheim Alpha Opportunity Fund Institutional Class

TCW Conservative Allocation Fund Cl N

MFS Managed Wealth Fund - Class A

Rydex S&P 500 Pure Growth H