Ivy Emerging Markets Equity Fund

Monthly Returns (%)
Years Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Annual
1996 0 0 0 0 0.42 -0.74 -3.72 2.1 1.08 0.64 6.48 3.06 0
1997 -0.98 1.48 -3.98 5.26 7.5 3.49 3.28 -2.43 -2.23 -24.3 -6.14 -1.98 -22.5
1998 -16.5 22.32 -2.47 -7.84 -13.03 -12.15 -7.9 -14.23 13.86 21.96 3.93 -1.24 -21
1999 -8 -1.22 8.98 18.58 -2.32 21.34 -3.79 1.43 -5.89 1.13 8.79 3.4 45.4
2000 -1.21 -4.35 10.03 -5.62 -4.83 7.44 2.75 -2.99 -9.37 -10.1 -5.01 4.93 -18.8
2001 9.85 -7.72 -8.37 0.88 -2.34 -1.64 -4.1 -3.96 -16.67 7.33 12.73 7.37 -10.3
2002 1.68 1.2 3.26 1.58 -0.42 -4.4 -5.65 -2.36 -9.52 4.81 2.55 -4.64 -12.2
2003 -0.35 -1.75 -1.95 2.72 4.41 4.9 6.12 7.44 1.13 8.8 1.16 10.15 51
2004 4.49 3.75 -3.4 -5.5 -2.68 -1.56 -2.43 3.25 5.07 2.18 10 2.76 15.9
2005 -0.6 5.5 -5.12 -0.94 1.11 3 5.44 0.74 5.3 -5.9 6.09 6.73 22.3
2006 8.96 -2.34 3.86 6.17 -7.14 -1.13 0.08 2.52 1.93 5.25 7.83 4.42 33.5
2007 -2.43 0.46 2.81 3.69 5.89 3.59 7.1 0.57 11.47 12.57 -9.64 0.84 41.2
2008 -16.53 2.5 -5.57 9.1 -2.03 -12.59 -1.25 -6.2 -17.54 -23.26 -3.03 13.45 -51.3
2009 -9.16 -4.42 15.75 16.35 18.88 0.81 10.21 -4.22 6.96 -1.51 3.62 4.2 68.3
2010 -6.93 0.08 6.73 1.81 -8.63 1.37 6.85 -2.31 8.32 2.75 -0.14 2.47 11.4
2011 -0.34 -5.45 7.4 4.77 -1.39 -3.14 0.93 -10.89 -18.76 14.04 -4.77 -4.76 -23.5
2012 10.52 6.62 -4.04 -0.32 -9.58 2.78 -1.66 -0.53 6.34 -0.5 1.52 5.29 15.9
2013 1.11 -1.1 -3.17 2.78 -1.91 -6.97 2.09 -0.26 4.54 4.83 3.52 3.44 8.5
2014 -3.58 1.97 -1.93 -1.97 3.86 3.12 0.94 2.72 -6.68 1.12 1.77 -1.71 -0.9
2015 0.44 1.84 1.37 8.83 -1.64 -2.99 -8.09 -9.77 -3.8 6.87 -0.72 -4.27 -12.7
2016 -7.92 -2.5 12.23 2.28 -3.8 5.41 4.97 3.57 1.72 1.1 -6.56 -0.23 8.9
2017 9.06 1.86 3.02 1.84 1.88 1.78 7.5 2.47 1 2.91 0.23 2.03 41.5
2018 8.45 -4.43 -1.23 -4.26 -3.21 -5.65 1.91 -3.93 -1.01 -8.21 3.81 -3.68 -20.4
2019 9.87 1.33 2.37 1.4 -7.58 6.32 -2.82 -4.1 1.91 4.45 2.47 5.66 22
2020 -3.93 -3.5 -18.14 9.39 5.29 10.31 11.53 4.77 -1.93 2.98 8.68 7.93 33.5
2021 3.78 0.33 -2.42 2.11 2.51 0.8 -7.33 2.97 -4.72 1.58 -4.79 0.05 -5.7
2022 -0.59 -7.61 -5.97 -6.92 1.86 -8.85 0.61 0.24 -11.19 -3.25 15.41 -17.78 -38.6
2023 8.78 -6.65 3.63 -1.33 -1.78 4.34 4.79 -5.76 -2.18 -3.8 7.54 0.14 6.5
2024 -2.29 5.18 1.89 -3.04 3.1