Oppenheimer Global Y Fund (OGLYX) seeks capital appreciation. OGLYX invests mainly in common stocks of companies in the U.S. and foreign countries. OGLYX can invest without limit in foreign securities and can invest in any country, including countries with developed or emerging markets.
This Global - Equity product has a history of positive total returns for over 10 years. Specifically, the fund’s returns over the 3, 5 year benchmarks; 3 year 7.1% and 5 year 11.3%. To see how this fund performed compared in its category, and other #1 and #2 Ranked Mutual Funds, please click here.
OGLYX’s performance, as of the last filing, when compared to funds in its category was in the top 6% over the past 1 year, and in the top 19% over the past 3 years and in the top 17% over the past 5 years.
The Oppenheimer Global Y fund, as of the last filing, allocates their fund in top three major groups; Large Growth, Foreign Stock and Large Value. Further, as of the last filing, Alphabet (NASDAQ:GOOGL) Inc, S&P Global Inc and Citigroup Inc (NYSE:C) were the top holdings for OGLYX.
This Zacks Rank #1 (Strong Buy) was incepted in December 1969 and is managed by Oppenheimer. OGLYX carries an expense ratio of 0.90% and requires a minimal initial investment of $0.
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Zacks Investment Research