TPPAX

T. Rowe Price Spectrum Moderate Allocation Fund I Class TPPAX

Résultat net

EBITDA

P/E Ratio

Capitalisation

Performance

Periode TPPAX PPIPX HISGX DGAGX HASCX DIAMX TRJWX BDOAX FCFWX MADCX
6M 14.65 % 10.68 % 29.70 % 21.42 % 21.39 % 15.77 % 10.25 % 20.61 % 15.44 % 28.72 %
YTD 10.40 % 7.80 % 7.66 % 5.24 % 0.45 % 12.80 % 7.92 % 25.18 % 12.41 % 24.33 %
1Y 3.39 % 4.97 % 0.26 % -9.54 % -1.30 % 1.59 % 4.30 % 17.71 % 9.45 % 13.90 %
3Y 25.89 % 21.63 % 32.83 % 13.42 % 17.08 % 19.44 % 14.49 % 62.20 % 36.77 % 43.18 %
5Y 2.10 % 1.34 % -18.80 % 9.70 % 28.05 % 25.07 % 14.49 % 37.88 % 29.63 % 6.30 %
10Y 25.89 % 20.59 % -8.27 % -19.46 % 63.21 % 25.45 % 14.49 % 51.74 % 50.54 % 72.05 %
Depuis le début 25.89 % 20.59 % 31.02 % 384.69 % 325.00 % 194.30 % 14.49 % 22.30 % 54.00 % 203.96 %

Dividende

T. Rowe Price Spectrum Moderate Allocation Fund I Class

T. Rowe Price Spectrum Conservative Allocation Fund I Class

Harbor Small Cap Growth Fund Investor Class

BNY Mellon Appreciation Fund, Inc. Investor Shares

Harbor Small Cap Value Fund Institutional Class

T. Rowe Price Retirement Balanced ClassI

iShares MSCI Total International Index Fund - Class A

American Funds Retirement Income Portfolio - Enhanced Class F-1

BlackRock Emerging Markets Fund, Inc.