RYSIX

Rydex Electronics Inv RYSIX

Net profit

EBITDA

P/E Ratio

Capitalization

Performance

Periode RYSIX RYTIX RYOIX TGVNX MCDFX DCGTX NCVLX ALMRX GVEQX ICSIX
6M 39.14 % 22.49 % 30.91 % 16.89 % 12.93 % 15.46 % 7.87 % 12.49 % 11.81 % 11.52 %
YTD 39.56 % 27.18 % 29.46 % 17.06 % 29.71 % 6.85 % 4.00 % 16.44 % 14.54 % 16.30 %
1Y 35.12 % 20.98 % 25.20 % 3.21 % 26.54 % 0.70 % -5.70 % 10.14 % 12.06 % -4.83 %
3Y 128.64 % 97.01 % 14.41 % 35.20 % 6.22 % 16.13 % -4.78 % 64.57 % 59.05 % 15.17 %
5Y 135.85 % 57.35 % -12.89 % 46.19 % -18.72 % -32.09 % -12.61 % -39.87 % 59.00 % 16.39 %
10Y 643.24 % 334.69 % 0.61 % 57.39 % 12.17 % 91.10 % 5.28 % 29.94 % 133.38 % 73.48 %
From the beginning 1 075.96 % 775.03 % 743.20 % 132.58 % 50.20 % 134.45 % 29.84 % 184.70 % 642.06 % 65.50 %

Dividend

Rydex Electronics Inv

Rydex Technology Inv

Rydex Biotechnology Fund Class Investor

TCW Relative Value Mid Cap Fund Class N

Matthews China Dividend Fund Investor Class

Jackson Square SMID-Cap Growth Fund IS Class

Nuance Concentrated Value Fund Institutional Class

Alger Mid Cap Growth Institutional Fund Class I

Government Street Equity

Dynamic U.S. Opportunity Fund - Class I