MGSEX

AMG Veritas Asia Pacific Fund Class N MGSEX

Net profit

EBITDA

P/E Ratio

Capitalization

Performance

Periode MGSEX MSEIX IGI TGVNX TRAMX AADBX GGIAX DCGTX SEAIX SSGAX
6M 21.65 % 21.79 % 0.15 % 16.89 % 1.52 % 8.32 % -2.99 % 15.46 % 11.81 % 11.92 %
YTD 37.60 % 37.92 % 0.15 % 17.06 % 9.80 % 10.19 % 7.64 % 6.85 % 19.68 % 19.79 %
1Y 34.80 % 35.12 % -2.64 % 3.21 % 6.19 % -0.19 % 6.75 % 0.70 % 14.98 % 15.11 %
3Y 35.63 % 36.02 % -2.24 % 35.20 % 17.43 % 9.13 % 1.89 % 16.13 % 19.00 % 20.04 %
5Y -43.05 % -40.18 % -25.18 % 46.19 % 38.39 % -1.23 % 9.92 % -32.09 % 5.31 % 6.56 %
10Y -4.24 % 2.87 % -19.33 % 57.39 % 50.93 % 4.98 % 23.31 % 91.10 % 39.77 % 42.14 %
From the beginning 313.21 % 17.22 % -18.08 % 132.58 % 12.86 % 12.19 % 23.31 % 134.45 % 67.27 % 74.40 %

Dividend

AMG Veritas Asia Pacific Fund Class N

AMG Veritas Asia Pacific Fund Class I

Western Asset Investment Grade Defined Opportunity Trust Inc.

TCW Relative Value Mid Cap Fund Class N

T. Rowe Price Africa & Middle East

American Beacon Balanced Fund R5 Class

Goldman Sachs Global Infrastructure Fund Class A

Jackson Square SMID-Cap Growth Fund IS Class

SEI Asset Allocation Trust Aggressive Strategy Fund Class I

SEI Asset Allocation Trust Aggressive Strategy Fund