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GLNAX

MFS Global New Discovery Fund Class A
1W: -1.5% 1M: -3.7% 3M: -4.2% YTD: +3.4% 1Y: -0.8% 3Y: +26.4% 5Y: -4.4%
$24.60
+0.22 (+0.90%)
 
Weekly Expected Move ±1.4%
$24 $24 $24 $25 $25
ETF NASDAQ · AUM $65.5M

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20 peers by holdings overlap (111 holdings)
MNDAX
MFS Series Trust I - MFS New Discovery Fund Class A
20.9%
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MVCAX
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MMID
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NCTWX
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WOOPX
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MGPIX
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10.6%
Shared14 holdings
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SMDVX
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PRNHX
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FMCSX
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PMEGX
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RPMGX
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JAENX
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RYBHX
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PESPX
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GMXAX
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UMPIX
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JATTX
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NOMIX
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FMDCX
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400X.AS
ETF
8.2%
Shared8 holdings
Total—
AUM—
Price—

Fundamentals Comparison

ETF AUM Holdings Top 10 Wt P/E P/B P/S ROE Net Margin Div Yield Rev Growth EPS Growth IS Score Piotroski
GLNAX $66M 106 17.2% 27.9 3.4 3.0 12.8% 10.7% 1.69% +14.2% +22.5% 55.6 6.2
MNDAX $1.3B 104 19.6% 48.6 4.4 3.1 6.6% 4.3% 0.47% +27.7% +35.1% 53.1 5.7
MVCAX $10.5B 151 12.3% 19.9 2.5 1.4 12.9% 6.7% 2.09% +9.3% +22.3% 52.3 6.2
MMID $36M 104 16.0% 25.8 3.3 2.0 12.5% 7.4% 1.61% +11.6% +23.4% 56.4 6.6
NCTWX $912M 65 26.2% 31.2 5.7 3.4 18.5% 10.9% 0.70% +11.1% +33.1% 63.4 6.8
WOOPX $294M 107 14.6% 25.8 3.8 1.9 14.3% 7.0% 0.99% +14.7% +17.0% 57.7 6.2
MGPIX $28M 243 14.8% 28.7 4.8 3.0 17.1% 10.0% 0.81% +15.7% +36.6% 61.0 6.4
SMDVX $1.1B 69 21.9% 27.1 4.8 3.0 17.7% 10.6% 1.18% +19.7% +46.1% 59.9 6.6
PRNHX $23.3B 306 14.1% 34.5 4.7 2.9 11.9% 6.7% 0.55% +33.7% +35.7% 55.9 5.9
FMCSX $9.1B 174 13.6% 21.2 3.1 2.2 16.3% 10.2% 0.96% +16.1% +45.5% 58.7 6.4
PMEGX $6.6B 113 19.8% 28.9 6.1 2.1 20.6% 6.8% 0.64% +14.1% +37.2% 61.0 6.3

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms