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PIGDX

Federated Hermes International Growth Fund Class IS
1W: -2.0% 1M: -2.2% 3M: -2.2% YTD: +13.7% 1Y: -74.6% 3Y: -62.2% 5Y: -75.7%
$4.55
+0.06 (+1.34%)
 
Weekly Expected Move ±2.3%
$4 $4 $4 $5 $5
ETF NASDAQ · AUM $82.0M

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20 peers by holdings overlap (73 holdings)
HNCAX
Hartford International Growth Fund Class A
34.6%
Shared16 holdings
Total43
AUM$546M
Price$23.64
GTDDX
Invesco Emerging Markets ex-China Fund Class A
30.0%
Shared15 holdings
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TINGX
Thornburg International Growth Fund Class I
27.4%
Shared11 holdings
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AUM$717M
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WILNX
William Blair International Leaders Fund Class N Shares
26.3%
Shared15 holdings
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EEMAX
Columbia Emerging Markets Fund
25.9%
Shared15 holdings
Total86
AUM$964M
Price$21.38
SEMVX
Hartford Schroders Emerging Markets Equity Fund
25.7%
Shared18 holdings
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AUM$8.4B
Price$29.32
PRITX
T. Rowe Price International Stock
25.1%
Shared15 holdings
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AUM$14.3B
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JEMSX
JPMorgan Emerging Markets Equity Fund
25.1%
Shared15 holdings
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NEWFX
American Funds New World Fund Class A
24.6%
Shared33 holdings
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VWIGX
Vanguard International Growth Fund Investor Shares
24.4%
Shared18 holdings
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FPBFX
Fidelity Pacific Basin Fund
23.5%
Shared11 holdings
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FEMKX
Fidelity Emerging Markets Fund
23.4%
Shared13 holdings
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IAE
Voya Asia Pacific High Dividend Equity Income Fund
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Shared15 holdings
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MEGMX
Matthews Emerging Markets Equity Inv
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Shared13 holdings
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AUM$345M
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AEMGX
Acadian Emerging Markets Investor
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Shared19 holdings
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POIIX
Polen International Growth Institutional
23.0%
Shared13 holdings
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AUM$87M
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MSACX
MSIF Passport Overseas Equity Portfolio - Class I
22.9%
Shared14 holdings
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AUM$203M
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IHD
Voya Emerging Markets High Dividend Equity Fund
22.9%
Shared14 holdings
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GOIGX
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MFAIX
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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
PIGDX $82M 71 36.4% 12.7 3.3 3.7 30.6% 29.1% 1.65% +34.2% +50.8% 64.7 6.2
HNCAX $546M 43 41.5% 8.2 4.9 6.7 87.5% 81.4% 1.14% +52.3% +72.4% 64.5 6.4
GTDDX $1.2B 97 241.5% 11.1 2.7 3.1 28.5% 27.7% 3.43% +19.2% +38.6% 61.5 6.2
TINGX $717M 47 47.1% 12.2 3.2 3.8 31.2% 30.8% 1.40% +28.9% +43.7% 62.2 6.4
WILNX $1.2B 53 33.3% 10.1 3.7 4.5 46.8% 44.8% 1.89% +40.0% +60.2% 63.2 6.4
EEMAX $964M 86 45.8% 10.3 3.7 4.4 44.4% 42.3% 1.57% +45.8% +87.2% 63.4 6.3
SEMVX $8.4B 99 44.5% 10.5 3.4 4.1 40.2% 38.7% 2.06% +37.0% +72.4% 60.9 6.1
PRITX $14.3B 105 30.1% 11.3 2.9 3.4 29.6% 29.9% 1.86% +17.4% +51.8% 61.8 6.5
JEMSX $12.0B 78 42.8% 9.4 3.8 4.7 52.8% 50.7% 1.73% +47.1% +65.6% 63.1 6.4
NEWFX $91.5B 389 25.8% 9.3 3.8 4.9 54.4% 52.4% 1.99% +30.0% +54.4% 58.9 6.2
VWIGX $44.5B 116 31.0% 9.5 3.7 4.7 48.7% 49.1% 1.33% +30.5% +43.8% 63.2 6.2

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