William Blair Emerging Mkts Growth N
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About the company
This fund typically allocates at least 80% of its total net assets (including any borrowed funds for investment) to securities within emerging markets. Its primary strategy involves constructing a diversified portfolio of equity instruments, encompassing common stocks and other equity-related investments like convertible securities. These holdings are issued by emerging market companies of various sizes, specifically those that the adviser identifies as exhibiting superior growth prospects, profitability, and overall quality attributes.
- IPO
- 2005
- HQ
- Chicago, IL, US
Price Chart
- Market Cap
- $1.24B
- P/E
- 19.96
- P/S
- 144.17
- P/B
- 0.00
- EV/EBITDA
- 0.00
- Div Yield
- 0.11%
- Gross Margin
- 100.00%
- Op Margin
- 71.38%
- Net Margin
- 186.50%
- ROE
- 7.44%
- ROIC
- 2.72%
- Revenue
- $8.58M · -1.29%
- Net Income
- $16.01M · 118.88%
- EPS
- $1.02 · 118.99%
- Op Income
- $6.13M
- FCF YoY
- 0.00%
- 52W High
- $21.98
- 52W Low
- $13.51
- 50D MA
- $20.16
- 200D MA
- $17.14
- Beta
- 1.11
- Avg Volume
- 0
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