Products

Intl/GlobalDefault share class
SHOWING 9 Mutual Funds
Products
AVERAGE ANNUAL RETURN — BEFORE TAX
AS OF September 30 2022
NAME ASSET
CLASS
CATEGORY SHARE
CLASS
1 YR 3 YR 5 YR 10 YR SINCE
INCEPT.
Emerging Market Debt Fund
IS ticker E M D I X
Intl/Global Emerging Markets I S -23.41% at net asset value -5.83% at net asset value -2.87% at net asset value -0.54% at net asset value 5.20% at net asset value
October 2 1996
Emerging Markets Equity Fund
IS ticker P I E F X
Intl/Global Emerging Markets I S -39.48% at net asset value 1.56% at net asset value -0.23% at net asset value 4.04% at net asset value
March 31 2017
Global Total Return Bond Fund
IS ticker F G T B X
Intl/Global Global I S -20.70% at net asset value -5.62% at net asset value -2.92% at net asset value -1.43% at net asset value
December 19 2016
International Equity Fund
R6 ticker P E I R X
Intl/Global Foreign Large Cap R 6 -32.06% at net asset value -0.59% at net asset value 0.26% at net asset value 5.55% at net asset value 4.62% at net asset value
August 1 1997
International Growth Fund
IS ticker P I G D X
Intl/Global Foreign Large Cap I S -37.32% at net asset value 2.32% at net asset value 2.65% at net asset value 7.14% at net asset value
February 29 2016
International Leaders Fund
R6 ticker F G R S X
Intl/Global Foreign Large Cap R 6 -24.75% at net asset value -0.05% at net asset value -0.94% at net asset value 4.37% at net asset value 6.59% at net asset value
September 30 1998
International Small-Mid Company Fund
IS ticker I S C I X
Intl/Global Foreign Small/Mid Cap I S -35.38% at net asset value 1.22% at net asset value 1.01% at net asset value 5.04% at net asset value 8.05% at net asset value
February 28 1996
International Strategic Value Dividend Fund
R6 ticker I V F L X
Intl/Global Foreign Large Cap R 6 -11.52% at net asset value -0.13% at net asset value -0.33% at net asset value 1.62% at net asset value -2.40% at net asset value
June 4 2008
SDG Engagement Equity Fund
IS ticker F H E S X
Intl/Global Global I S -23.02% at net asset value 0.05% at net asset value 1.81% at net asset value
November 5 2018