WebPrice at NAV $69.88 as of 4/05/2024 (updated daily) Fund Assets (millions) $48,159.0 Portfolio Managers 1 12 Expense Ratio 2 0.97% Quarterly Fund Fact Sheet (PDF) Prospectus (PDF) Returns at NAV Returns at MOP Read important investment disclosures -7.26% 1-year return 3.70% 5-year return 5.10% 10-year return 0.45% 30-Day SEC Yield Web1 jun. 2024 · Discover historical prices for NWFFX stock on Yahoo Finance. View daily, weekly or monthly formats back to when American Funds New World F1 stock was issued.
Fidelity® Emerging Markets Discovery Fund (FEDDX) Mutual Fund Price …
WebNew World Fund ® (NWFFX) JUMP TO A FUND . JUMP TO A FUND. ... Price at NAV $71.69 as of 4/13/2024 (updated daily) Fund Assets (millions ... The fund invests in … WebPrice at NAV $70.07 as of 4/06/2024 (updated daily) Fund Assets (millions) $48,159.0 Portfolio Managers 1 12 Expense Ratio 2 0.97% Prospectus (PDF) Returns at NAV Returns with Sales Charge Read important investment disclosures -7.26% 1-year return 3.70% 5-year return 5.10% 10-year return 0.45% 30-Day SEC Yield 風来のシレン 運命のダイス
American Funds New World Fund Cl F-1shs: (MF: NWFFX)
Web28 mrt. 2024 · NWFFX Actions Price (USD) 68.84 Today's Change 0.600 / 0.88% 1 Year change -8.59% Data delayed at least 15 minutes, as of Mar 01 2024. Take Action Add this security to watchlist, portfolio, or... WebFind all stock quotes and get the latest stock prices as well as stock analysis including company news and historical charts on all stock companies. Web13 apr. 2024 · Size of Fund (Millions) as of Apr 06, 2024 $11,566.3 M. Share Class launch date Dec 27, 1996. Asset Class Equity. Morningstar Category Mid-Cap Growth. Lipper Classification Mid-Cap Growth Funds. Benchmark Index Russell MidCap Growth Index (USD) CUSIP 091928846. Distribution Frequency Annual. Number of Holdings as of Mar … tarian joget melayu