Page 388 - DCAC February 2024 Files
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24.0
20.0
16.0
(5 YEARS*)
12.0
RISK VS. RETURN
8.0
3.0
0.0
6.0
12.0
15.0
9.0
Return (% )
PEER GROUP ANALYSIS - IM International Large Cap Growth Equity (MF)
1 Risk (Standard Deviation %) 10 7 5 3 Years Years Years Years Year Standard Return (38) 4.90 (48) 7.35 (62) 8.04 (69) -2.66 (37) Deviation (31) 5.15 (35) 7.99 (42) 8.81 (51) 0.26 (21) 19.07 8.04 Amer Funds EuPc 18.17 8.81 MSCI EAFE Growth Index (Net) 18.72 8.40 Median 4.42 7.28 8.40 0.33 2016 2017 2018 2019 2020 2021 2
16.05 17.58 15.54 -22.72 -22.95 -20.24 -2.66 0.26 0.33
(37) (21)
Year To Date 16.05 17.58 15.54
(59) (18)
Last Quarter 10.37 12.72 10.83 CALENDAR YEAR RETURNS AND PERCENTILE RANKINGS ROLLING 3 YEAR RETURN AND PERCENTILE RANKINGS
28.0 20.0 12.0 Return 4.0 -4.0 -12.0 IM International Large Cap Growth Equity (MF) Median IM International Large Cap Growth Equity (MF) Median
Amer Funds EuPc MSCI EAFE Growth Index (Net) Median Amer Funds EuPc MSCI EAFE Gr Idx Net Amer Funds EuPc MSCI EAFE Gr Idx Net
Amer Funds EuPc 12/31/23 FUND INFORMATION Capital Fund Group/American Funds Family : 05/01/2009 Fund Inception : Team Managed Portfolio Manager : $65,936 Million Total Assets : 34% Turnover : Investment Strategy: This fund's managers are focused on long term capital growth. They primarily invest in common stocks of European and Pacific Basin issuers that have prospects of above average capital appreciation.

