Address And Details

2005 Market St. , Philadelphia, PA 19103
Fund Manager Jonas Krumplys
Manager Tenure 7 Years 6 Months

Strategy And Objective

To seek to provide growth of capital. Ivy Emerging Markets Equity Fund invests, under normal circumstances, at least 80% of its net assets in equity securities, primarily common stock, of companies (i) from countries considered to be emerging market countries or (ii) that are economically linked to emerging market countries. Emerging market countries include, but are not limited to, those considered to be developing by the International Monetary Fund, the World Bank, the International Finance Corporation or one of the leading global investment banks. IICO has broad discretion to identify other countries that it considers to qualify as emerging market countries. The majority of these countries are likely to be located in Asia, Latin America, the Middle East, Central and Eastern Europe, and Africa. The Fund may invest in companies of any size and market capitalization and in companies in any industry. The issuer of a security or other investment generally is deemed to be economically linked to a particular country if: (a) the security or other investment is issued or guaranteed by the government of that country or any of its agencies, authorities or instrumentalities; (b) the issuer is organized under the laws of, and maintains a principal office in, that country; (c) the issuer has its principal securities trading market in that country; (d) the issuer derives 50% or more of its total revenues from goods sold or services performed in that country; (e) the issuer has 50% or more of its assets in that country; or (f) the issuer is included in an index which is representative of that country.

Net Asset Value

as of 5:48 PM ET 09/17/2021

Performance

  • 1 Week
  • -1.81%
  • 1 Month
  • +2.93%
  • 3 Months
  • -5.10%
  • 1 Yr Return
  • +19.75%
  • 5 Yr Return
  • +80.87%

Equity Sector Breakdown

Technology 19.84%
Finance 17.02%
IndustrialCyclical 12.58%
RetailTrade 8.30%
NonDurables 6.72%
ConsumerDurables 4.92%
Energy 3.68%
Health 3.62%
Utilities 2.47%
Services 2.05%

Asset Allocation

Asset Type % Of Allocation
Stocks 98.86%
ForeignStocks 90.95%
Cash 0.00%
Bonds 0.00%
Preferred 0.00%
Convertible 0.00%
Other 0.00%
ForeignBonds 0.00%
ForeignHedged 0.00%
Total Net Assets 377.00 M

Risk Measures

Criteria 3 Years 5 Years 10 Years
Alpha 0.63 -0.92 -6.83
Beta 0.89 0.85 0.99
R Squared 0.60 0.47 0.49
Std Deviation 21.19 18.62 18.93
Sharpe Ratio 0.81 0.76 n/a

Purchase Information

as of 6:05 PM ET 09/16/2021
Minimum Initial $750
Minimum Additional $0
Minimum Initial IRA $0

Performance

Timeframe Average Annual Current Performance Monthly As Of 08/31/2021 Average Annual Current Performance Quarterly As Of 06/30/2021 Avg Annual Current Performance Monthly As Of 08/31/2021 Avg Annual Current Performance Quarterly As Of 06/30/2021
1 Year
  • +22.50%
  • +50.09%
+22.50% +50.09%
3 Year
  • +15.89%
  • +16.93%
+15.89% +16.93%
10 Year
  • +7.36%
  • +6.73%
+7.36% +6.73%
Life Of Fund
  • +5.68%
  • +5.89%
+5.68% +5.89%

Top 10 Holdings

Symbol Company Name % Of Assets
TSM TAIWAN SEMICONDUCTOR MANUFACT 8.03%
067166 SAMSUNG ELECTRONICS CO LTD 6.85%
0700.HK TENCENT HOLDINGS LTD 6.30%
2331.HK LI NING COMPANY LTD 4.89%
YNDX YANDEX NV 2.73%
RLNIY RELIANCE INDUSTRIES LTD 2.67%
BABA ALIBABA GROUP HOLDING LIMITE 2.58%
ICBK.NS ICICI BANK LTD 2.52%
HYMPY HYUNDAI MOTOR CO 2.52%
JD JD COM INC 2.48%

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