SLSSX

Selected International Fund Class S SLSSX

Net profit

No data available

EBITDA

No data available

P/E Ratio

Capitalization

Performance

Periode SLSSX SLSDX TFESX TFEQX PRCGX HIMGX IBUF MMEYX IMST WTLTX
6M 23.49 % 23.68 % 12.74 % 12.80 % 33.10 % 0.00 % 6.86 % 25.53 % -47.29 % 2.87 %
YTD 27.94 % 28.12 % 25.74 % 25.79 % 10.75 % -1.06 % 11.47 % 11.69 % -36.52 % 3.23 %
1Y 13.59 % 13.65 % 4.27 % 3.82 % 13.20 % 1.97 % 12.65 % 7.67 % -36.52 % 2.40 %
3Y 87.88 % 87.84 % 40.62 % 39.22 % 20.23 % 45.94 % 14.45 % 22.15 % -36.52 % 14.29 %
5Y 8.77 % 8.86 % -6.19 % -7.73 % 31.75 % -9.09 % 14.45 % 75.29 % -36.52 % -0.99 %
10Y 30.64 % 30.46 % -35.94 % -37.81 % -16.15 % 134.71 % 14.45 % 37.79 % -36.52 % 3.70 %
From the beginning 95.02 % 25.23 % -47.55 % 27.93 % 171.00 % 771.07 % 14.45 % 417.80 % -36.52 % -10.40 %

Dividend

Selected International Fund Class S

Selected International Fund Class D

Templeton Institutional Fund International Equity Series Service Shares

Templeton Institutional Fund International Equity Series Primary Shares

Perritt Micro Cap Opportunities Fund.

Harbor Mid Cap Growth Fund Investor Class

Victory Integrity Discovery Fund

Bitwise Funds Trust

Segall Bryant & Hamill Quality High Yield Fund Retail Class