PerformanceEntry

Share Class
Inception Date
Total Fund Asset
YTD Return
Net Asset Value
Over All Ranking
Over All Rating
SL NOShare ClassShare Class Inceptiontotal_fund_assetYTD ReturnNet Asset ValueOverall RankingOverall Rating
1equity2021-09-2488785615
2fund2021-09-098903.8967.832
3fund2021-09-28566755.9943
4equity2021-10-19100905598
5equity2021-10-1850657579
6equity2021-10-186666669.59.5
7equity2021-10-181001009599
8equity2021-10-1812121255
9equity2021-10-1211111