AMIDX

Amana Developing World Fund Institutional Class AMIDX

Net profit

No data available

EBITDA

No data available

P/E Ratio

Capitalization

Performance

Periode AMIDX AMDWX ICPAX MECDX JNVSX WELNX LPDAX CBLLX OCMAX WSBFX
6M 22.39 % 22.14 % 27.17 % 20.70 % 8.62 % 28.22 % 25.82 % 19.08 % 51.73 % 15.90 %
YTD 13.72 % 13.55 % 12.52 % 12.12 % -0.21 % 24.73 % 17.35 % 13.97 % 126.26 % 7.70 %
1Y 6.49 % 6.46 % 18.66 % 4.22 % -9.82 % 17.44 % 8.19 % -18.49 % 77.32 % 1.06 %
3Y 47.06 % 47.00 % 33.47 % 65.93 % 26.61 % 44.03 % 63.22 % -14.33 % 246.37 % 14.62 %
5Y 36.40 % 36.18 % 184.39 % 10.40 % 34.46 % -3.86 % 47.43 % -11.75 % 113.70 % 13.10 %
10Y 64.33 % 64.36 % 31.13 % 66.27 % 51.87 % 38.79 % 67.43 % -8.13 % 274.36 % 49.72 %
From the beginning 40.29 % 51.85 % -32.73 % 66.27 % 86.50 % 30.11 % 67.43 % 42.57 % 43.75 % 139.10 %

Dividend

Amana Developing World Fund Institutional Class

Amana Mutual Funds Trust Developing World Fund

Integrity Mid-North American Resources Fund Class A

MainStay Epoch Capital Growth Fund - Class A

Jensen Quality Value Fund J Shares

William Blair Emerging Mkts Ldrs N

BlackRock LifePath Dynamic 2060 Inv A

Wells Fargo C&B Large Cap Value Fund - Class Admin

OCM Gold Atlas

Boston Trust Walden Balanced Fund