RSIGX

Victory RS International Fund - Class Y RSIGX

Net profit

No data available

EBITDA

No data available

P/E Ratio

Capitalization

Performance

Periode RSIGX GUBGX TUHYX HRMDX HNMDX GMXRX SIVIX GMXAX SSQSX PRPZX
6M 16.55 % 16.37 % 3.80 % 9.65 % 9.83 % 19.63 % 19.35 % 19.67 % 19.19 % 2.80 %
YTD 22.73 % 22.44 % 0.12 % 1.87 % 2.16 % 4.68 % 1.64 % 4.86 % 1.40 % -2.19 %
1Y 12.78 % 12.73 % 0.12 % -9.50 % -9.43 % -8.32 % -9.33 % -7.88 % -9.31 % -28.93 %
3Y 66.23 % 66.15 % 8.18 % 11.90 % 12.07 % 9.90 % 6.36 % 10.88 % 6.32 % -8.37 %
5Y 49.00 % 49.13 % -13.14 % 22.35 % 22.79 % 10.05 % 3.20 % 11.55 % 2.97 % 51.09 %
10Y 76.26 % 76.02 % -16.90 % 42.72 % 43.27 % -12.12 % -4.03 % -10.02 % -4.47 % -28.69 %
From the beginning 93.70 % 75.68 % -16.90 % 36.30 % 37.40 % 3.27 % 73.90 % 66.10 % 17.81 % -37.85 %

Dividend

Victory RS International Fund - Class Y

Victory RS International Fund - Class A

T. Rowe Price U.S. High Yield Fund Investor Class

Heartland Mid Cap Value Fund Investor Class

Heartland Mid Cap Value Fund Institutional Class

Nationwide Mid Cap Market Index Fund Class R

State Street Institutional Small-Cap Equity Fund Investment Class

Nationwide Mid Cap Market Index Fund Class A

State Street Institutional Small-Cap Equity Fund Service Class

PGIM Jennison MLP Fund Class Z