LCRIX

Leuthold Core Investment Fund Class Institutional LCRIX

Net profit

EBITDA

P/E Ratio

Capitalization

Performance

Periode LCRIX BTBFX IDIVX SVOAX SUSYX SEVIX PRNIX PQNAX TCVAX ITTIX
6M 16.09 % 15.05 % 19.71 % 10.72 % 10.65 % 10.72 % 13.26 % 13.08 % 15.07 % 8.98 %
YTD 12.03 % 6.96 % 11.52 % 7.85 % 7.86 % 7.85 % 2.92 % 2.65 % 4.75 % 5.40 %
1Y 2.39 % -0.64 % 1.84 % -9.27 % -9.28 % -9.27 % -4.53 % -4.88 % -4.34 % 1.53 %
3Y 17.23 % 18.18 % 35.87 % -4.47 % -4.53 % -4.53 % -2.11 % -5.67 % 10.61 % 15.50 %
5Y 19.09 % 17.89 % 59.27 % -8.61 % -8.67 % -8.61 % -3.14 % -7.49 % 33.33 % -0.85 %
10Y 29.42 % 57.04 % 63.59 % -10.89 % -10.95 % -10.89 % 11.41 % 4.55 % 41.49 % -3.07 %
From the beginning 35.25 % 244.25 % 105.30 % 49.25 % -10.42 % 10.56 % 75.07 % 209.55 % 133.60 % -5.46 %

Dividend

Leuthold Core Investment Fund Class Institutional

Boston Trust Asset Management Fund

Integrity Dividend Harvest Fund Class A

SEI Institutional Managed Trust - U.S. Managed Volatility Fund

SEI Institutional Managed Trust U.S. Managed Volatility Fund

SEI Institutional Managed Trust U.S. Managed Volatility Fund Class I

Virtus NFJ Mid Cap Value Fund Institutional Class

Virtus NFJ Mid Cap Value Fund Class A

Touchstone Mid Cap Value Fund Class A

Hartford Multi-Asset Income Fund Class I