GLNAX

MFS Global New Discovery Fund Class A GLNAX

Net profit

No data available

EBITDA

No data available

P/E Ratio

Capitalization

Performance

Periode GLNAX SEMCX SIPIX SFDYX ARDEX IJUN GESIX GESOX SPTE JAMFX
6M 13.01 % 18.97 % 18.93 % 18.92 % 6.94 % 12.55 % 13.57 % 13.40 % 47.67 % 51.41 %
YTD 9.07 % 7.50 % 7.52 % 7.50 % 0.33 % 16.12 % 5.45 % 5.23 % 26.47 % 26.72 %
1Y 3.71 % -2.45 % -2.46 % -2.48 % -44.30 % 11.71 % -3.96 % -3.97 % 29.47 % 50.50 %
3Y 44.50 % 37.72 % 37.67 % 37.72 % -39.13 % 13.31 % 32.96 % 32.87 % 76.18 % 87.56 %
5Y 7.27 % 29.22 % 29.10 % 29.22 % -41.50 % 13.31 % 23.06 % 23.04 % 76.18 % -3.95 %
10Y 62.90 % 22.82 % 22.61 % 19.36 % -50.68 % 13.31 % 83.70 % 83.67 % 76.18 % 80.38 %
From the beginning 139.64 % 215.46 % 41.05 % 19.36 % -38.34 % 13.31 % 91.79 % 91.39 % 76.18 % -24.60 %

Dividend

MFS Global New Discovery Fund Class A

SEI Institutional Managed Trust Mid-Cap Portfolio Fund Class F

SEI Institutional Managed Trust Mid-Cap Portfolio Fund Class I

SEI Institutional Managed Trust Mid-Cap Fund

AMG River Road Dividend All Cap Value Fund - Class N

Lazard Global Equity Select Portfolio Institutional Shares

Lazard Global Equity Select Portfolio Open Shares

SP Funds S&P Global Technology ETF

Jacob Internet Fund Investor Class Shares