RYLIX

Rydex Leisure Fund Class Investor RYLIX

Net profit

EBITDA

P/E Ratio

Capitalization

Performance

Periode RYLIX RYLCX RYFIX FOVAX RYMSX WESRX EMQIX EMQAX RYMIX XOEF
6M 8.79 % 8.24 % 8.17 % -0.63 % 3.87 % 28.66 % 25.37 % 25.56 % 33.92 % 1.99 %
YTD 7.28 % 6.41 % 7.11 % -9.33 % 0.00 % 23.27 % 30.04 % 30.13 % 30.76 % 1.99 %
1Y 9.18 % 7.96 % 7.09 % -16.46 % -3.85 % 27.84 % 19.88 % 19.86 % 30.66 % 1.99 %
3Y 51.92 % 47.21 % 18.27 % -6.71 % -8.53 % 22.42 % 64.45 % 63.99 % 51.41 % 1.99 %
5Y 32.15 % 23.39 % 58.85 % 6.37 % -3.37 % 0.51 % -10.35 % -10.77 % 46.08 % 1.99 %
10Y 58.49 % 36.55 % 80.43 % 33.43 % 3.22 % 38.78 % 1.30 % 0.20 % 53.26 % 1.99 %
From the beginning 229.77 % 153.46 % 105.84 % 90.43 % -0.08 % 58.90 % 1.30 % 0.20 % -24.77 % 1.99 %

Dividend

Rydex Leisure Fund Class Investor

Rydex Leisure Fund Class C

Rydex Financial Services Inv

First Trust/Confluence Small Cap Value Fund

Guggenheim Multi-Hedge Strategies P

TETON Convertible Securities Fund - Class AAA

Ashmore Emerging Markets Active Equity Fund - Institutional Class

Ashmore Emerging Markets Active Equity Fund - Class A

Rydex Telecommunications Inv

iShares Trust