Baron International Growth Fund (BINIX)

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Fund Description

Baron International Growth Fund invests primarily in non-U.S. growth companies.

   

   

Fund Resources

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Michael Kass sees growth opportunities overseas.

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Price as of Apr 22 , 2014 Collapse

NAV Daily Change ($) Daily Change (%) MTD YTD 52-Week High 52-Week Low
$19.08 $0.09 0.47% -1.45% 0.16% $19.66 $15.56 

Price History

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12/31/2008 – 4/22/2014
  • Low: $8.69 3/9/2009
  • High: $19.66 4/2/2014

Performance as of March 31, 2014

Month End   |   Quarter End Download Fund Performance
    Annualized Returns
3/31/14
Since Inception
12/31/08
 
  YTD 1 YR 3 YR 5 YR 10 YR Annualized Cumulative Expense
Ratio*
BINIX - Baron International Growth Fund - I 1.63% 21.85% 6.98% 18.83% N/A 16.36% 121.53% 1.37% / 1.25%
MSCI ACWI ex USA IMI Growth Index 0.67% 11.39% 4.37% 15.82% N/A 12.97% 89.66% N/A
MSCI ACWI ex USA Index 0.51% 12.36% 4.15% 15.52% N/A 12.28% 83.67% N/A
    Annualized Returns
3/31/14
Since Inception
12/31/08
 
  YTD 1 YR 3 YR 5 YR 10 YR Annualized Cumulative Expense
Ratio*
BINIX - Baron International Growth Fund - I 1.63% 21.85% 6.98% 18.83% N/A 16.36% 121.53% 1.37% / 1.25%
MSCI ACWI ex USA IMI Growth Index 0.67% 11.39% 4.37% 15.82% N/A 12.97% 89.66% N/A
MSCI ACWI ex USA Index 0.51% 12.36% 4.15% 15.52% N/A 12.28% 83.67% N/A
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Growth of $10,000 Chart

 
12/31/2008 – 4/21/2014
  • Baron Int'l Growth Fund - I: $21,730.01
  • MSCI IMI Growth Net: $18,980.13
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Rolling Returns

Rolling Returns Graph
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Historical Performance

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Year Baron International Growth Fund - I MSCI ACWI ex USA IMI Growth Index MSCI ACWI ex USA Index
2013 21.89% 15.85% 15.29%
2012 18.17% 16.69% 16.83%
2011 -16.13% -14.66% -13.71%
2010 24.54% 15.90% 11.15%
2009 44.89% 40.90% 41.45%
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Cumulative Returns

12/31/2008 – 3/31/2014
  • BINIX - Baron International Growth Fund - I: 121.53%
  • MSCI ACWI ex USA IMI Growth Index: 89.66%
  • MSCI ACWI ex USA Index: 83.67%
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Total Returns By Quarters

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Quarters Baron International Growth Fund - I MSCI ACWI ex USA IMI Growth Index MSCI ACWI ex USA Index
3/31/2014 1.63% 0.67% 0.51%
12/31/2013 3.25% 4.63% 4.77%
9/30/2013 14.75% 9.25% 10.09%
6/30/2013 1.20% -3.20% -3.08%
3/31/2013 1.66% 4.70% 3.13%
12/31/2012 0.97% 5.00% 5.85%
9/30/2012 8.06% 7.42% 7.40%
6/30/2012 -6.64% -7.53% -7.61%
3/31/2012 16.00% 11.89% 11.23%
12/31/2011 2.96% 3.72% 3.72%
9/30/2011 -19.83% -20.08% -19.85%
6/30/2011 1.32% 0.77% 0.38%
3/31/2011 0.29% 2.16% 3.41%
12/31/2010 12.36% 8.68% 7.20%
9/30/2010 16.70% 17.32% 16.58%
6/30/2010 -9.26% -11.25% -12.45%
3/31/2010 4.67% 2.42% 1.58%
12/31/2009 7.64% 5.26% 3.74%
9/30/2009 21.48% 17.62% 19.69%
6/30/2009 18.50% 25.04% 27.58%
3/31/2009 -6.50% -8.99% -10.71%
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Total Returns By Months

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Month End Baron International Growth Fund - I MSCI ACWI ex USA IMI Growth Index MSCI ACWI ex USA Index
3/31/2014 0.16% 0.02% 0.26%
2/28/2014 6.33% 5.29% 5.02%
1/31/2014 -4.57% -4.41% -4.54%
12/31/2013 3.59% 1.12% 0.88%
11/30/2013 0.05% 0.32% 0.17%
10/31/2013 -0.38% 3.14% 3.67%
9/30/2013 6.96% 6.77% 6.95%
8/31/2013 0.00% -1.47% -1.38%
7/31/2013 7.28% 3.84% 4.38%
6/30/2013 -1.65% -4.14% -4.34%
5/31/2013 -1.09% -1.88% -2.31%
4/30/2013 4.03% 2.92% 3.72%
3/31/2013 0.19% 0.91% 0.16%
2/28/2013 -1.80% 0.21% -1.06%
1/31/2013 3.33% 3.53% 4.07%
12/31/2012 1.89% 2.78% 3.47%
11/30/2012 0.07% 2.08% 1.91%
10/31/2012 -0.97% 0.08% 0.39%
9/30/2012 4.85% 3.66% 3.74%
8/31/2012 2.71% 1.85% 2.09%
7/31/2012 0.35% 1.75% 1.41%
6/30/2012 4.36% 4.51% 5.90%
5/31/2012 -10.71% -11.04% -11.36%
4/30/2012 0.20% -0.53% -1.58%
3/31/2012 1.32% -0.86% -1.37%
2/29/2012 5.42% 5.81% 5.62%
1/31/2012 8.60% 6.66% 6.78%
12/31/2011 -4.40% -1.67% -1.12%
11/30/2011 -2.42% -4.83% -5.10%
10/31/2011 10.37% 10.84% 10.53%
9/30/2011 -11.78% -12.48% -11.13%
8/31/2011 -8.82% -8.27% -8.57%
7/31/2011 -0.34% -0.45% -1.36%
6/30/2011 -0.56% -1.77% -1.45%
5/31/2011 -3.22% -2.45% -2.88%
4/30/2011 5.28% 5.16% 4.89%
3/31/2011 0.40% 0.45% -0.23%
2/28/2011 1.11% 2.31% 2.63%
1/31/2011 -1.21% -0.60% 0.98%
12/31/2010 8.57% 7.85% 7.83%
11/30/2010 -1.54% -2.54% -3.86%
10/31/2010 5.11% 3.39% 3.41%
9/30/2010 9.52% 10.72% 9.95%
8/31/2010 -2.85% -2.12% -2.75%
7/31/2010 9.69% 8.26% 9.03%
6/30/2010 -0.22% -0.65% -1.28%
5/31/2010 -9.67% -10.37% -10.52%
4/30/2010 0.68% -0.34% -0.88%
3/31/2010 6.40% 7.01% 6.80%
2/28/2010 -0.14% 0.37% 0.00%
1/31/2010 -1.49% -4.65% -4.89%
12/31/2009 3.05% 2.52% 2.11%
11/30/2009 7.90% 3.10% 2.87%
10/31/2009 -3.19% -0.41% -1.24%
9/30/2009 6.57% 5.55% 5.13%
8/31/2009 5.43% 2.28% 3.70%
7/31/2009 8.12% 8.96% 9.78%
6/30/2009 -0.45% -0.82% -1.11%
5/31/2009 7.43% 13.92% 13.54%
4/30/2009 10.80% 10.67% 13.62%
3/31/2009 3.20% 7.27% 8.03%
2/28/2009 -5.13% -8.42% -9.33%
1/31/2009 -4.50% -7.35% -8.84%
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Performance data quoted represents past performance. Past performance is no guarantee of future results. The investment return and principal value of an investment will fluctuate; an investor's shares, when redeemed, may be worth more or less than their original cost. The Adviser has reimbursed certain Fund expenses and the Fund's transfer agency expenses may be reduced by expense offsets from an unaffiliated transfer agent, without which performance would have been lower. Current performance may be lower or higher than the performance data quoted above. For performance information current to the most recent month end, click on Total Returns By Month tab above.

*As of fiscal year ended 12/31/2012 the gross expense ratio of the Fund’s Institutional Shares is 1.40%, but the net expense ratio is 1.25% (net of the Adviser's fee waivers).

Definitions (provided by BAMCO, Inc.): The MSCI ACWI ex USA indexes cited are unmanaged, free float-adjusted market capitalization weighted indexes. The MSCI ACWI ex USA IMI Growth Index Net USD measures the performance of large, mid and small cap growth securities across developed and emerging markets, excluding the United States. The MSCI ACWI ex USA Index Net USD measures the equity market performance of large and midcap securities across developed and emerging markets, excluding the United States. The indexes and the Fund include reinvestment of dividends, net of foreign withholding taxes, which positively impact the performance results. The Morningstar Foreign Small/Mid Growth Average is not weighted and represents the straight average of annualized returns of each of the funds in the Foreign Small/Mid Growth category. The Fund's Institutional Shares have been included in the category since May 29, 2009 and the Fund's Retail Shares since inception. As of 6/30/13, the category consisted of 147, 144, 136, and 111 funds for the 3-month, year-to-date, 1-, and 3-year periods. © 2014 Morningstar, Inc. All Rights Reserved. The Morningstar information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information.