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Ariel International Fund Investor Class

Ariel International Fund Investor Class

AINTX Β· NMFQS
AINTX Β· NMFQS
13.96
USD0.110.79%
Ariel International Fund Investor Class
AINTX
13.96
USD0.110.79%

Day Range

13.85USD
13.96USD

52 Week Range

13.85USD
16.13USD

Total Assets

730.3M US Dollar

About

General Information

Type

FUND

Exchange

NMFQS

Currency Code

USD

Currency Name

US Dollar

Country Name

USA

Country ISO

US

ISIN

US0403378831

CUSIP

040337883

Fund Family

Ariel Investments

Inception Date

-

Updated At

-

Key Stats

Net Assets

730.3M

Share Class Net Assets

29.1M

Fiscal Year End

September

Expense Ratio

1.1

Expense Ratio Date

-

Asset Allocation

% Long

% Short

% Net Assets

Category Average

Benchmark

Stock US

2.95%

0.00%

2.95%

3.03%

0.26%

Non US Stock

96.54%

0.00%

96.54%

95.25%

99.40%

Cash

31.04%

30.53%

0.51%

4.67%

0.01%

Not Classified

0.00%

0.00%

0.00%

0.00%

0.00%

Other

0.00%

0.00%

0.00%

0.24%

0.36%

Bond

0.00%

0.00%

0.00%

0.15%

0.00%

Total

130.53%

30.53%

100.00%

103.32%

100.03%

Ratings

Rating

-

Risk Rating

-

Sustainability Ratio

-

Equity Style Box

Size
Large
Mid
Small
Style
ValueBlendGrowth