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Highest Returning
Ticker Name 5 Year
total return
PRLAX T. Rowe Price Latin America 30.28
MDLTX BlackRock Latin America A 29.73
FLATX Fidelity Latin America 25.51
FLTAX Fidelity Advisor Latin America A 25.29
USAGX USAA Precious Metals and Minerals 24.51
SLAFX DWS Latin America Equity S 24.47
DPCAX Dreyfus Greater China A 23.66
INIVX Van Eck Intl Investors Gold A 22.69
MCHFX Matthews China 21.95
OPGSX Oppenheimer Gold & Special Minerals A 21.24
FKRCX Franklin Gold and Precious Metals A 20.93
FEAAX Fidelity Advisor Emerging Asia A 20.00
GBEMX RS Emerging Markets A 19.78
DFEVX DFA Emerging Markets Value I 19.75
EKWBX Evergreen Precious Metals B 19.56
EMGAX Evergreen Emerging Markets Growth A 19.53
NGCAX Columbia Greater China A 19.43
ODMAX Oppenheimer Developing Markets A 19.09
FSAGX Fidelity Select Gold 18.97
ETGIX Eaton Vance Greater India A 18.82
LETRX ING Russia A 18.71
PRASX T. Rowe Price New Asia 18.71
TGLDX Tocqueville Gold 18.67
USERX U.S. Global Investors Gold and Prec Mtls 18.46
DREGX Driehaus Emerging Markets Growth 18.29
GOLDX GAMCO Gold AAA 18.27
LZEMX Lazard Emerging Markets Equity Instl 18.05
OCMGX OCM Gold 17.84
GOPAX Aberdeen China Opportunities A 17.83
SGGDX First Eagle Gold A 17.71
FGLDX AIM Gold & Precious Metals Inv 17.70
EITEX Eaton Vance Tax-Managed Emerg Mkts I 17.69
GTDDX AIM Developing Markets A 17.35
DEMSX DFA Emerging Markets Small Cap I 17.32
IJPIX ING JPMorgan Emerging Markets Equity S 17.15
TCWAX Templeton China World A 17.03
JAIGX Janus Aspen Overseas Instl 16.72
DFETX DFA Emerging Mkts II 16.52
AOTIX Allianz NACM Emerging Mkt Opp I 16.49
GHAAX Van Eck Global Hard Assets A 16.46
  Group average of 10683 funds     2.46
Data through 11/20/2009
Total Return
Total return measures the increase in an investment in this fund as a percentage of that initial investment. Total return includes both income (in the form of dividends or interest payments) and capital gains or losses (the increase or decrease in the value of a security). Morningstar calculates total return by taking the change in a fund's NAV, assuming the reinvestment of all income and capital gains distributions (on the actual reinvestment date used by the fund) during the period, and then dividing by the initial NAV.

Total returns for periods of longer than one year are annualized. Total return data is updated daily, except 10-year trailing return, which is updated monthly.
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