Kopernik

Statistics as of May 01, 2025

Search , , ,

in

Further filter by keywords:
Found total of 2 distinct funds
Download top 1000 CSV
Tip: click “3yr Sharpe” ratio to sort and find fund with best returns (reward) & the smallest drops (risk). Click on a few of these to compare them in the Ticker Box.
NameExpense RatioTTM Yield3yr SharpeYTD Return3yr Return1yr Return ▲Total Assets6M Money Flow
Foreign Large Value
Expense Ratio
1.05%
TTM Yield
3.1%
3yr Sharpe
0.39
YTD Return
16.5%
3yr Return
31.6%
1yr Return
11.8%
Total Assets
$550M
6M Money Flow
-$64M
Foreign Small/Mid Value
Expense Ratio
1.02%
TTM Yield
4.1%
3yr Sharpe
0.41
YTD Return
17.5%
3yr Return
32.6%
1yr Return
14.6%
Total Assets
$2B
6M Money Flow
-$105M