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William Blair Growth I (BGFIX)
On
Dec 7
:
9.89
0.04
(0.40%)
MORE ON BGFIX
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Risk
As of 31-Oct-09
Get
Risk
for:
RISK OVERVIEW
Morningstar Risk Rating:
Average
Number of Years Up:
4
Number of Years Down:
1
Best 1 Yr Total Return
(2007)
:
13.59%
Worst 1 Yr Total Return
(2008)
:
-37.35%
RISK (MODERN PORTFOLIO THEORY) STATISTICS
3 Years
Statistic
BGFIX
Category
Alpha (against Standard Index)
4.80
2.45
Beta (against Standard Index)
0.98
1.00
Mean Annual Return
-2.45
-0.24
R-squared (against Standard Index)
88
88.47
Standard Deviation
20.39
20.84
Sharpe Ratio
-0.14
N/A
Treynor Ratio
-4.96
N/A
5 Years
Statistic
BGFIX
Category
Alpha (against Standard Index)
3.59
0.94
Beta (against Standard Index)
1.00
1.01
Mean Annual Return
3.82
0.21
R-squared (against Standard Index)
87
86.37
Standard Deviation
16.98
17.46
Sharpe Ratio
0.13
N/A
Treynor Ratio
0.80
N/A
10 Years
Statistic
BGFIX
Category
Alpha (against Standard Index)
1.46
0.18
Beta (against Standard Index)
1.05
1.04
Mean Annual Return
0.04
0.04
R-squared (against Standard Index)
86
78.62
Standard Deviation
18.13
19.22
Sharpe Ratio
-0.07
N/A
Treynor Ratio
-2.81
N/A
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