MRSRX

MFS Research International Fund MRSRX

Net profit

No data available

EBITDA

No data available

P/E Ratio

Capitalization

Performance

Periode MRSRX LIPIX MCVIX LIJKX TRRNX LIHKX FPACX HGITX VEVCX PRSVX
6M 11.55 % 20.90 % 13.37 % 15.14 % 17.96 % 19.09 % 14.08 % 19.58 % 7.79 % 17.70 %
YTD 19.31 % 18.97 % 6.23 % 14.96 % 16.72 % 17.64 % 13.26 % 12.68 % 1.34 % 7.28 %
1Y 10.82 % 15.25 % -6.98 % 11.01 % 13.02 % 13.99 % 7.74 % 5.03 % -11.08 % -2.09 %
3Y 49.59 % 67.21 % 19.85 % 48.02 % 49.16 % 62.29 % 41.93 % 48.82 % 2.10 % 12.18 %
5Y 34.98 % 66.00 % 44.51 % 39.18 % 38.47 % 59.41 % 43.13 % 58.05 % 23.58 % 24.77 %
10Y 60.12 % 122.32 % 64.64 % 81.04 % 70.82 % 112.90 % 35.63 % 146.71 % 47.41 % 22.30 %
From the beginning 104.62 % 175.90 % 258.27 % 116.70 % 131.57 % 160.80 % 355.30 % 331.25 % 47.41 % 462.60 %

Dividend

MFS Research International Fund

BlackRock LifePath Index 2050 Fund

MFS Mid Cap Value Fund

BlackRock LifePath Index 2035 Fund

T. Rowe Price Retirement 2055 Fund

BlackRock LifePath Index 2045 Fund

FPA Crescent Fund

Hartford Core Equity Fund

Victory Sycamore Established Value Fund

T. Rowe Price Small-Cap Value Fund