FIJDX
Price
$69.12
Change
+$1.83 (+2.72%)
Updated
Aug 20 closing price
Net Assets
3.32B
UIPMX
Price
$59.98
Change
+$2.05 (+3.54%)
Updated
Aug 21 closing price
Net Assets
1.34B
Interact to see
Advertisement

FIJDX vs UIPMX

FIJDX vs UIPMX Comparison Chart in %
View a ticker or compare two or three
VS
FIJDX vs. UIPMX commentary
Aug 24, 2026

To compare these two companies we present long-term analysis, their fundamental ratings and make comparative short-term technical analysis which are presented below. The conclusion is FIJDX is a Hold and UIPMX is a Hold.

Interact to see
Advertisement
FUNDAMENTALS
Fundamentals
FIJDX has more cash in the bank: 3.32B vs. UIPMX (1.34B). FIJDX pays higher dividends than UIPMX: FIJDX (5.70) vs UIPMX (0.30). FIJDX was incepted earlier than UIPMX: FIJDX (8 years) vs UIPMX (18 years). UIPMX (1.04) is less costly to investors than FIJDX (0.57). FIJDX is a more actively managed with annual turnover of: 60.00 vs. UIPMX (15.00). FIJDX has a lower initial minimum investment than UIPMX: FIJDX (0) vs UIPMX (1000000). UIPMX annual gain was more profitable for investors over the last year : 77.76 vs. FIJDX (70.12). UIPMX return over 5 years is better than : 245.11 vs. FIJDX (202.59).
FIJDXUIPMXFIJDX / UIPMX
Total Expense Ratio0.571.0156%
Annual Report Gross Expense Ratio0.571.0455%
Fund Existence8 years18 years-
Gain YTD20.76721.83695%
Front LoadN/AN/A-
Min. Initial Investment01000000-
Min. Initial Investment IRAN/AN/A-
Net Assets3.32B1.34B249%
Annual Yield % from dividends5.700.301,928%
Returns for 1 year70.1277.7690%
Returns for 3 years259.53287.2590%
Returns for 5 years202.59245.1183%
Returns for 10 yearsN/A268.67-
View a ticker or compare two or three
Interact to see
Advertisement
Interesting Tickers
1D
1W
1M
1Q
6M
1Y
5Y
1 Day
MFs / NAMEPrice $Chg $Chg %
MEURX36.430.43
+1.19%
Franklin Mutual International Value Z
MLNAX29.470.26
+0.89%
Morgan Stanley Instl Glbl Concntr A
RGDTX12.600.09
+0.72%
Russell Inv Global Equity M
HEOMX20.510.09
+0.44%
Hartford Climate Opportunities A
MEIAX55.290.11
+0.20%
MFS Value A