SKTAX

SEI Asset Allocation Trust Core Market Strategy Allocation Fund Class F SKTAX

Résultat net

EBITDA

P/E Ratio

Capitalisation

Performance

Periode SKTAX MJSC JMCGX GOPIX SXMAX CMU RYDHX PCHI SHIIX SHIEX
6M 15.54 % -1.99 % 45.95 % 24.76 % 5.33 % 3.54 % 16.80 % -0.12 % 11.94 % 11.84 %
YTD 14.95 % -1.99 % 25.73 % 27.68 % 6.71 % -0.57 % 12.15 % 0.00 % 9.50 % 9.27 %
1Y 3.52 % -1.99 % 37.10 % 19.52 % -3.00 % -1.13 % 12.00 % 0.00 % 8.33 % 8.41 %
3Y 16.56 % -1.99 % 42.32 % 13.18 % -1.49 % 20.62 % 39.00 % 0.00 % 33.41 % 33.50 %
5Y 18.23 % -1.99 % 23.62 % -20.93 % -1.22 % -15.83 % 58.99 % 0.00 % 11.38 % 11.16 %
10Y 38.23 % -1.99 % 101.87 % 51.64 % -8.25 % -23.03 % 125.16 % 0.00 % 10.27 % 9.49 %
Depuis le début 124.25 % -1.99 % 55.30 % 168.27 % 78.54 % -64.90 % 125.16 % 0.00 % 10.60 % 9.60 %

Dividende

SEI Asset Allocation Trust Core Market Strategy Allocation Fund Class F

Jacob Discovery Fund Investor Class

Aberdeen China A Share Equity Fund Institutional Class

SEI Asset Allocation Trust Moderate Strategy Allocation Fund Class F

MFS High Yield Municipal Trust

Rydex Dow Jones Industrial Average H

Polen High Income ETF

Catalyst Buffered Shield Fund Class I

Catalyst Buffered Shield Fund Class A