Overview

Fund Category
Net Assets
515.14
1 Day Change
-0.99
1 Day Return
-0.56
1 Month Return
0.89
YTD Return
-0.91
5 Year Return
2.84
Morningstar Rating
4
NAV
-0.15
Security Type
Exchange Traded
Stock dividend price
$0.00
Ticker Symbol
RIT
Timestamp from when the data was fetched
Sep. 24 2023

Performance Details

Performance Date
Aug. 31 2023
Performance
2.43%
Performance: 3 Years
3.49%
Performance: 5 Years
1.73%

Fund information

Fund Provider
Inception Date
Fund Managers
Lee Goldman
Primary Perspective Benchmark