BDOAX

iShares MSCI Total International Index Fund - Class A BDOAX

Net profit

EBITDA

P/E Ratio

Capitalization

Performance

Periode BDOAX MADCX MDDCX DIAMX HISGX INUTX TPPAX HASCX BIIEX AMGIX
6M 20.61 % 28.72 % 28.63 % 15.77 % 29.70 % 15.95 % 14.65 % 21.39 % 21.15 % 19.30 %
YTD 25.18 % 24.33 % 24.12 % 12.80 % 7.66 % 9.05 % 10.40 % 0.45 % 32.44 % 8.16 %
1Y 17.71 % 13.90 % 13.78 % 1.59 % 0.26 % 0.54 % 3.39 % -1.30 % 22.17 % 4.73 %
3Y 62.20 % 43.74 % 43.39 % 19.20 % 31.17 % 20.96 % 25.23 % 15.21 % 104.27 % 36.01 %
5Y 38.98 % 7.91 % 7.41 % 26.15 % -18.75 % 30.13 % 2.46 % 28.75 % 101.60 % 0.33 %
10Y 51.17 % 70.94 % 70.26 % 25.66 % -8.93 % 12.75 % 25.89 % 63.59 % 74.34 % 13.36 %
From the beginning 22.30 % 203.96 % 66.91 % 194.30 % 31.02 % 106.78 % 25.89 % 325.00 % 121.76 % 63.11 %

Dividend

iShares MSCI Total International Index Fund - Class A

BlackRock Emerging Markets Fund, Inc.

BlackRock Emerging Markets Fund, Inc.

Harbor Small Cap Growth Fund Investor Class

Columbia Dividend Opportunity Fund Class A

T. Rowe Price Spectrum Moderate Allocation Fund I Class

Harbor Small Cap Value Fund Institutional Class

Brandes International Equity Fund Class I

Disciplined Core Value Fund - I Class