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EDIV — State STREET(R) SPDR(R) S&P Emerging Markets…

Data as of 2026-09-21 · International · Dividend · window 2016-09-21 → 2026-09-21 (10.0 years) · returns assume dividends reinvested, net of fund fees · Market Data from Tiingo.com

What the history says

EDIV
Total return+118.8%
Annualised (CAGR)+8.1%
Volatility (annualised)+15.1%
Sharpe (rf = 0)0.54
Deepest drawdown-40.7%
Drawdown peak → trough2018-02-26 → 2020-03-23

Over the 10.0 years to 2026-09-21 the fund returned +118.8% in total (+8.1% a year), with a deepest drawdown of -40.7% from 2018-02-26 to 2020-03-23. Its worst calendar year was 2022 (-15.3%), its best 2023 (+42.0%).

Every calendar year

Calendar-year returns (net of fees, dividends reinvested)
YearEDIV
2026+9.1%
2025+16.5%
2024+12.7%
2023+42.0%
2022-15.3%
2021+11.2%
2020-9.9%
2019+11.8%
2018-6.2%
2017+28.2%
2016-5.7%

What this page does not say

It does not say EDIV is a good or bad fund, and it is not a forecast. Returns above are history: they already include dividends and already exclude the fund's own fees. A drawdown of -40.7% means an investor who bought at the peak would have watched that much value disappear before it recovered — how long that takes is the part most tables leave out.

Run your own window, add fees or a second fund: open EDIV in the tool. History is shown as history, never sold as a forecast.

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