MRSAX

MFS Series Trust I MFS Research International Fund Class A MRSAX

Net profit

EBITDA

P/E Ratio

Capitalization

Performance

Periode MRSAX MQGIX PAROX MGRDX MGRAX HAIAX HGIYX SWISX GETGX HILDX
6M 11.62 % 13.64 % 18.05 % 13.70 % 13.51 % 19.62 % 19.77 % 15.13 % 8.34 % 18.37 %
YTD 20.06 % 22.07 % 16.96 % 22.17 % 21.82 % 13.26 % 13.51 % 28.31 % 1.30 % 36.53 %
1Y 11.57 % 9.78 % 13.61 % 8.98 % 8.94 % 5.77 % 5.96 % 18.72 % -10.47 % 25.16 %
3Y 47.39 % 51.13 % 46.99 % 49.05 % 48.93 % 47.31 % 47.78 % 58.99 % 0.78 % 76.82 %
5Y 35.75 % 34.63 % 38.40 % 31.74 % 31.42 % 58.59 % 59.35 % 49.53 % 24.06 % 100.42 %
10Y 61.51 % 93.35 % 70.20 % 87.34 % 86.20 % 146.95 % 149.08 % 54.82 % 30.01 % 55.03 %
From the beginning 168.10 % 262.14 % 109.68 % 100.92 % 233.80 % 494.40 % 504.69 % 112.80 % 353.20 % 55.03 %

Dividend

MFS Series Trust I MFS Research International Fund Class A

T. Rowe Price Retirement 2055 Fund Advisor Class

MFS Series Trust X- MFS International Growth Fund A

Hartford Core Equity Fund Class A

Hartford Core Equity Fund Class Y

Schwab Capital Trust - Schwab International Index Fund

Victory Sycamore Established Value Fund Class R

Hartford International Value F