Fund name
Ticker
Share class
Currency
NAV
NAV as of
Net assets (USD)
Incept date
YTD (%)
1Y (%)
3Y (%)
5Y (%)
10Y (%)
Incept (%)
Perf. as of
USD
638.12
Jul 29, 2025
642,655M
May 15, 2000
6.18
15.13
19.68
16.60
13.61
7.89
Jun 30, 2025
Class J Hedged
GBP
243.59
Jul 28, 2025
255,371M
Mar 31, 2016
4.46
4.81
21.08
17.33
-
11.57
Jun 30, 2025
Class J Hedged
EUR
261.90
Jul 28, 2025
255,371M
Mar 31, 2016
3.66
3.45
19.51
15.94
-
10.66
Jun 30, 2025
Class J Hedged
USD
316.24
Jul 28, 2025
255,371M
Mar 31, 2016
4.93
5.48
22.03
18.10
-
12.91
Jun 30, 2025
J
JPY
28,143.90
Jul 28, 2025
255,371M
Apr 5, 2016
2.69
2.17
17.35
15.25
-
11.56
Jun 30, 2025
J
GBP
104.40
Jul 28, 2025
255,371M
Feb 27, 2024
2.10
4.94
-
-
-
3.12
Jun 30, 2025
J
EUR
102.92
Jul 28, 2025
255,371M
Feb 27, 2024
-1.45
3.87
-
-
-
3.01
Jun 30, 2025
J
USD
110.54
Jul 28, 2025
255,371M
Feb 27, 2024
11.72
13.77
-
-
-
9.25
Jun 30, 2025
USD
83.21
Jul 29, 2025
143,917M
Oct 18, 2012
20.77
19.12
15.83
11.22
6.76
7.40
Jun 30, 2025
USD
98.82
Jul 29, 2025
128,225M
Sep 22, 2003
4.00
6.09
2.55
-0.73
1.72
3.12
Jun 30, 2025
USD
679.53
Jul 29, 2025
126,352M
May 19, 2010
6.07
14.86
19.38
16.31
13.28
13.74
Jun 30, 2025
Hedged
GBP
10.73
Jul 29, 2025
126,352M
Jul 3, 2018
5.98
14.38
17.97
15.01
-
12.42
Jun 30, 2025
Hedged
MXN
1,507.62
Jul 29, 2025
126,352M
Dec 11, 2019
8.37
20.23
25.79
21.91
-
19.21
Jun 30, 2025
USD
120.15
Jul 29, 2025
115,229M
Sep 25, 2009
9.52
16.27
18.36
14.63
10.75
10.46
Jun 30, 2025
Hedged
GBP
10.39
Jul 29, 2025
115,229M
May 22, 2017
6.73
13.81
17.20
14.17
-
10.87
Jun 30, 2025
Hedged
EUR
9.13
Jul 29, 2025
115,229M
Jun 5, 2019
5.78
12.10
15.71
12.98
-
11.53
Jun 30, 2025
USD
6.74
Jul 29, 2025
115,229M
Jul 26, 2023
9.52
16.27
-
-
-
17.38
Jun 30, 2025
USD
439.15
Jul 29, 2025
114,795M
May 22, 2000
6.00
17.00
25.55
17.94
16.80
8.05
Jun 30, 2025
US Class
USD
61.11
Jul 29, 2025
99,953M
Oct 18, 2012
15.39
15.15
10.00
7.53
4.96
4.18
Jun 30, 2025
A2
EUR
18.14
Jul 29, 2025
98,633M
Feb 28, 2005
-4.15
-0.22
11.52
7.38
5.88
4.38
Jun 30, 2025
A4
GBP
15.44
Jul 29, 2025
98,633M
Feb 28, 2005
-1.04
0.86
11.50
6.04
7.88
5.48
Jun 30, 2025
C2
EUR
14.07
Jul 29, 2025
98,633M
Feb 28, 2005
-4.76
-1.48
10.13
6.04
4.58
3.09
Jun 30, 2025
A2 Hgd
EUR
19.29
Jul 29, 2025
98,633M
May 29, 2006
-0.53
-0.74
20.37
15.43
7.85
3.14
Jun 30, 2025
X2
JPY
4,075.00
Jul 29, 2025
98,633M
Apr 12, 2010
-0.60
0.07
20.44
16.92
10.06
10.48
Jun 30, 2025
A2
JPY
3,111.00
Jul 29, 2025
98,633M
Feb 28, 2005
-1.45
-1.68
18.33
14.87
8.14
5.42
Jun 30, 2025
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The performance quoted represents past performance and does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor's shares, when sold or redeemed, may be worth more or less than the original cost. Current performance may be lower or higher than the performance quoted. Standardized performance and performance data current to the most recent month end may be obtained by clicking on the fund names above.