ALMRX

Alger Mid Cap Growth Institutional Fund Class I ALMRX

Net profit

EBITDA

P/E Ratio

Capitalization

Performance

Periode ALMRX BIPSX DCGTX ICBAX MGSEX TGVNX GVEQX RYSIX NCVLX TRAMX
6M 39.26 % 64.73 % 19.21 % 33.06 % 39.24 % 23.93 % 30.52 % 86.49 % 13.52 % 18.97 %
YTD 17.22 % 19.89 % 1.82 % 14.08 % 36.41 % 8.90 % 14.36 % 36.35 % 2.04 % 22.89 %
1Y 20.17 % -30.87 % 2.59 % 4.35 % 28.38 % -1.20 % 11.85 % 29.74 % -7.13 % 9.98 %
3Y 76.70 % -15.27 % 25.60 % 15.45 % 49.47 % 38.09 % 72.16 % 179.86 % 5.75 % 25.94 %
5Y -33.44 % -42.41 % -22.09 % 56.10 % -36.37 % 54.84 % 60.44 % 160.02 % -5.73 % 70.75 %
10Y 28.87 % -42.10 % 79.95 % 52.62 % -8.84 % 34.45 % 129.23 % 639.81 % -2.95 % 43.49 %
From the beginning 186.60 % 16.96 % 123.41 % 90.85 % 309.65 % 116.36 % 640.94 % 1 048.92 % 27.39 % 26.32 %

Dividend

Alger Mid Cap Growth Institutional Fund Class I

ProFunds Biotechnology UltraSector Fund Service Class

Jackson Square SMID-Cap Growth Fund IS Class

ICON Natural Resources & Infrastructure Fund Investor

AMG Veritas Asia Pacific Fund Class N

TCW Relative Value Mid Cap Fund Class N

Government Street Equity

Rydex Electronics Inv

Nuance Concentrated Value Fund Institutional Class

T. Rowe Price Africa & Middle East