TAIFX

American Funds Tax-Aware Conservative Growth and Income Portfolio Class F-1 TAIFX

Résultat net

EBITDA

P/E Ratio

Capitalisation

Performance

Periode TAIFX FAXTX PGGFX TLQIX INPFX OAKBX FAKTX MMACX MPGFX ARTIX
6M 13.83 % 26.32 % 29.78 % 15.81 % 11.47 % 11.80 % 11.93 % 13.10 % 25.03 % 18.77 %
YTD 9.83 % 17.04 % 19.35 % 12.99 % 9.35 % 5.26 % 11.38 % 9.24 % 9.07 % 30.39 %
1Y 4.12 % 12.96 % 12.68 % 5.61 % 5.19 % 4.74 % 4.49 % 1.59 % 3.96 % 14.59 %
3Y 26.66 % 61.52 % 60.07 % 33.52 % 23.01 % 31.60 % 23.15 % 22.74 % 48.52 % 61.38 %
5Y 21.99 % 54.31 % 37.86 % 19.78 % 14.22 % 33.79 % 10.47 % 6.56 % 38.56 % 6.19 %
10Y 39.84 % 104.00 % 87.12 % 58.34 % 25.26 % 22.72 % 22.93 % 25.21 % 67.04 % 23.79 %
Depuis le début 70.80 % 104.00 % 165.94 % 145.92 % 43.23 % 278.10 % 24.40 % 107.09 % 2 341.14 % 198.90 %

Dividende

American Funds Tax-Aware Conservative Growth and Income Portfolio Class F-1

American Funds 2065 Target Date Retirement Fund Class F-1

American Funds Global Growth Portfolio Class F-1

TIAA-CREF Lifecycle Index 2025 Fund Institutional Class

American Funds Conservative Growth and Income Portfolio - Class F-1

Oakmark Equity And Income Fund Investor Class

American Funds 2015 Target Date Retirement Fd Cl F-1

MFS Moderate Allocation Fund Class C

Mairs & Power Growth Fund Investor Class

Artisan International Fund Inv Shs