YHD - Delayed Quote USD

Epoch Global Choice A Instl Acc (IE00B8DP6542.IR)

13.95 -0.26 (-1.83%)
As of June 28 at 6:07 PM EDT. Market Open.

Performance Overview

Morningstar Return Rating 3
YTD Return --
5y Average Return --
Number of Years Up 1
Number of Years Down 1
Best 1Y Total Return 1.87%
Worst 1Y Total Return -0.80%
Best 3Y Total Return 1.87%
Worst 3Y Total Return --

Trailing Returns (%) Vs. Benchmarks

Monthly Total Returns
IE00B8DP6542.IR
Category
YTD
-3.45%
6.49%
1-Month
-0.99%
1.34%
3-Month
3.26%
6.49%
1-Year
-8.73%
11.04%
3-Year
5.52%
2.69%
5-Year
0.00%
6.63%
10-Year
0.00%
2.24%
Last Bull Market
0.00%
0.00%
Last Bear Market
0.00%
0.00%

Annual Total Return (%) History

Year
IE00B8DP6542.IR
Category
2018
--
--
2017
29.48%
--
2016
-1.93%
--
2015
-0.80%
-2.30%
2014
1.87%
1.15%
2013
31.26%
22.85%
2012
18.06%
14.03%
2011
-2.82%
-10.81%

2010
8.35%
9.13%
2009
25.53%
32.73%
2008
-36.37%
-42.85%
2007
9.27%
10.81%
2006
13.96%
21.38%
2005
--
8.20%

Past Quarterly Returns

YearQ1Q2Q3Q4
2018 -2.78% 3.25% 3.09% --
2017 8.35% 5.90% 6.71% 5.75%
2016 -2.49% -0.58% 2.73% -1.53%
2015 3.67% -0.08% -9.54% 5.87%
2014 -1.87% 0.74% 0.08% 2.95%
2013 3.74% 8.26% 9.32% 9.32%
2012 11.30% -2.86% 5.32% 3.69%
2011 4.43% 2.06% -14.37% 6.48%
2010 2.90% -10.22% 10.28% 6.35%
2009 -8.77% 15.66% 14.14% 4.23%

2008 -7.78% 4.35% -13.33% -23.70%
2007 1.82% 5.84% 2.24% -0.83%
2006 4.36% -2.51% 5.21% 6.47%
2005 -1.26% -- -- --

Rank in Category (By Total Return)

YTD 93
1-Month 96
3-Month 97
1-Year 73
3-Year 30
5-Year --

Load Adjusted Returns

1-Year -15.90%
3-Year 2.69%
5-Year --
10-Year --

Performance & Risk

YTD Return --
5y Average Return --
Rank in Category (ytd) 93
% Rank in Category (ytd) --
Beta (5Y Monthly) 0.96
Morningstar Risk Rating

Fund Overview

Category Global Large-Cap Blend Equity
Fund Family Epoch Investment Partners Inc
Net Assets 564.37M
YTD Return -3.45%
Yield 0.00%
Morningstar Rating
Inception Date Mar 11, 2013

Fund Summary

The investment objective of the Fund is to seek to provide long-term capital appreciation with lower than average volatility by investing in a concentrated portfolio of global companies with superior risk-reward profiles.

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