MCDFX

Matthews China Dividend Fund Investor Class MCDFX

Net profit

EBITDA

P/E Ratio

Capitalization

Performance

Periode MCDFX TGVNX RYSIX MGSEX MSEIX LIPRX DCGTX ALMRX ICBAX NCVLX
6M 12.93 % 16.89 % 39.14 % 20.41 % 20.54 % 0.73 % 15.46 % 11.62 % 11.43 % 7.61 %
YTD 29.71 % 17.06 % 39.56 % 36.20 % 36.51 % 2.86 % 6.85 % 15.54 % 7.78 % 3.75 %
1Y 26.54 % 3.21 % 35.12 % 33.43 % 33.74 % 1.46 % 0.70 % 9.28 % 1.68 % -5.92 %
3Y 8.06 % 37.66 % 138.35 % 37.10 % 37.50 % -1.52 % 19.47 % 68.05 % 13.38 % -3.49 %
5Y -19.46 % 43.10 % 131.43 % -44.62 % -41.83 % -18.61 % -32.77 % -40.96 % 32.41 % -13.88 %
10Y 11.59 % 55.77 % 632.96 % -6.46 % 0.48 % -3.00 % 88.84 % 27.65 % 51.04 % 3.67 %
From the beginning 50.20 % 132.58 % 1 075.96 % 309.01 % 16.02 % -9.34 % 134.45 % 182.50 % 80.32 % 29.53 %

Dividend

Matthews China Dividend Fund Investor Class

TCW Relative Value Mid Cap Fund Class N

Rydex Electronics Inv

AMG Veritas Asia Pacific Fund Class N

AMG Veritas Asia Pacific Fund Class I

Loomis Sayles Inflation Protected Securities Fund Retail Cl

Jackson Square SMID-Cap Growth Fund IS Class

Alger Mid Cap Growth Institutional Fund Class I

ICON Natural Resources & Infrastructure Fund Investor

Nuance Concentrated Value Fund Institutional Class