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Highest Returning
Ticker Name Year-to-date
total return
UBPIX ProFunds UltraLatin America Inv 211.31
DXZLX Direxion Mthly Latin America Bull 2X Inv 180.16
JRUAX JPMorgan Russia A 154.26
LETRX ING Russia A 133.00
UUPIX ProFunds UltraEmerging Markets Inv 129.93
DEAAX Dreyfus Emerging Asia A 126.48
DXQLX Direxion Mthly NASDAQ-100 Bull 2X Inv 120.61
DXELX Direxion Mthly Emerg Mkts Bull 2X 120.20
OBCHX Oberweis China Opportunities 119.17
TREMX T. Rowe Price Em Eur & Mediterranean 118.21
MDLTX BlackRock Latin America A 112.79
DPCAX Dreyfus Greater China A 112.77
ENCPX Encompass 112.18
GBFAX Van Eck Emerging Markets A 112.16
OSMAX Oppenheimer International Small Co A 112.10
TMRFX Third Millennium Russia A 110.19
INPIX ProFunds Internet UltraSector Inv 110.16
FSAVX Fidelity Select Automotive 109.43
HFEAX Henderson European Focus A 108.96
PRLAX T. Rowe Price Latin America 106.91
EGLRX Alpine International Real Estate 105.87
DNEMX Dunham Emerging Markets Stock N 105.15
MPYMX Metzler/Payden European Emerging Markets 102.09
WAEMX Wasatch Emerging Markets Small Cap 101.19
JLTAX JPMorgan Latin America A 99.77
LDMOX Lazard Developing Markets Equity Open 98.78
GBRAX Goldman Sachs BRIC A 98.47
RYVYX Rydex Dynamic NASDAQ-100 2X Strategy H 97.14
UOPIX ProFunds UltraNASDAQ-100 Inv 97.01
PRASX T. Rowe Price New Asia 96.38
JEMAX JHT Emerging Markets Value NAV 92.91
UGPIX ProFunds UltraChina Inv 92.48
DFRSX DFA Asia Pacific Small Company I 92.29
MINDX Matthews India 91.64
MSMLX Matthews Asia Small Companies 90.74
TGLDX Tocqueville Gold 90.53
DXCLX Direxion Mthly Commodity Bull 2X 90.48
JEVNX JHFunds2 Emerging Markets Value NAV 90.41
BIRMX Birmiwal Oasis 90.35
TEMMX Templeton Emerging Markets Small Cap A 90.21
  Group average of 15858 funds     25.37
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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