BIIEX

Brandes International Equity Fund Class I BIIEX

Net profit

EBITDA

P/E Ratio

Capitalization

Performance

Periode BIIEX CSVYX GEMAX RLITX LISIX RVT AMGIX BIGRX PPIPX FGADX
6M 21.15 % 27.54 % 31.84 % 16.80 % 16.75 % 20.71 % 19.30 % 19.32 % 10.68 % 58.65 %
YTD 32.44 % 5.92 % 28.48 % 21.83 % 21.78 % 1.02 % 8.16 % 8.16 % 7.80 % 143.85 %
1Y 22.17 % 6.00 % 18.94 % 1.11 % 1.05 % 1.53 % 4.73 % 4.74 % 4.97 % 80.54 %
3Y 104.27 % 30.88 % 61.33 % 34.29 % 34.15 % 24.10 % 36.01 % 35.99 % 21.15 % 231.05 %
5Y 101.60 % 53.21 % 15.61 % 10.88 % 10.75 % 17.42 % 0.33 % 0.25 % 1.59 % 67.91 %
10Y 74.34 % 21.78 % 86.28 % 19.96 % 19.56 % 31.16 % 13.36 % 13.17 % 20.59 % 250.22 %
From the beginning 121.76 % 73.52 % 177.00 % 19.78 % 63.80 % 59.10 % 63.11 % 295.20 % 20.59 % 264.10 %

Dividend

Brandes International Equity Fund Class I

Columbia Small Cap Value Fund I Institutional 3 Class

Goldman Sachs Emerging Markets Fund Class A

Lazard International Strategic Equity Portfolio R6

Lazard International Strategic Equity Portfolio Institutional Shares

Royce Value Trust Inc.

Disciplined Core Value Fund - I Class

Disciplined Core Value Fund - Investor Class

T. Rowe Price Spectrum Conservative Allocation Fund I Class

Franklin Gold and Precious Metals Fund Advisor Class