MGSEX

AMG Veritas Asia Pacific Fund Class N MGSEX

Net profit

EBITDA

P/E Ratio

Capitalization

Performance

Periode MGSEX MSEIX IGI TGVNX DCGTX TRAMX AADBX GGIAX LGDX JEQ
6M 41.46 % 41.62 % 3.41 % 23.86 % 17.82 % 19.25 % 12.82 % 4.79 % 24.33 % 29.42 %
YTD 35.99 % 36.24 % 1.96 % 9.74 % 3.16 % 23.18 % 7.78 % 12.71 % 10.84 % 40.24 %
1Y 28.57 % 28.63 % -3.47 % -1.52 % 2.89 % 10.05 % -2.79 % -5.04 % 10.84 % 31.75 %
3Y 45.92 % 46.33 % 8.59 % 39.55 % 26.08 % 26.62 % 16.26 % 21.92 % 10.84 % 57.53 %
5Y -37.37 % -34.22 % -18.28 % 54.26 % -21.56 % 70.24 % 5.74 % 18.72 % 10.84 % -2.54 %
10Y -8.26 % -1.47 % -19.46 % 35.25 % 83.21 % 44.15 % -0.38 % 29.12 % 10.84 % 9.08 %
From the beginning 308.36 % 15.79 % -16.60 % 118.04 % 126.35 % 26.62 % 9.74 % 29.12 % 10.84 % -14.18 %

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

Jackson Square SMID-Cap Growth Fund IS Class

T. Rowe Price Africa & Middle East

American Beacon Balanced Fund R5 Class

Goldman Sachs Global Infrastructure Fund Class A

Abrdn Japan Equity Fund Inc