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.
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