Dreyfus Total Emerging Markets Fund

  • Ticker: DTMYX
  • Product Code: 0153
  • CUSIP: 007568306
Share Class:

Portfolio Manager/Sub-Investment Adviser

The investment adviser for the fund is The Dreyfus Corporation. Sean P. Fitzgibbon, CFA, Federico Garcia Zamora, Gaurav Patankar and Josephine Shea are the fund's primary portfolio managers. Mr. Fitzgibbon and Mr. Patankar are the fund's primary portfolio managers responsible for the fund's equity investments, a position they have held since the fund's inception in February 2011, and December 2015, respectively. Mr. Garcia Zamora and Ms. Shea are the fund's primary portfolio managers responsible for the fund's fixed-income investments, a position they have held since January 2016. Mr. Fitzgibbon is a senior managing director, portfolio manager, research analyst and head of the global core equity team at The Boston Company Asset Management, LLC (TBCAM), an affiliate of Dreyfus. Mr. Garcia Zamora is a director of emerging markets strategies and portfolio manager for emerging market local currency debt at Standish Mellon Asset Management Company, LLC (Standish), an affiliate of Dreyfus. Mr. Patankar is a managing director, portfolio manager and senior research analyst at TBCAM. Ms. Shea is a portfolio manager at Standish. Messrs. Fitzgibbon, Garcia Zamora and Patankar, and Ms. Shea also are employees of Dreyfus.

Top Holdings 2

Tencent Holdings 4.61%
Samsung Electronics 2.79%
Taiwan Semiconductor 2.61%
CNOOC 2.30%
Sberbank Of Russia, ADR 2.12%
Largan Precision 1.93%
IShares MSCI Emerging Markets ETF 1.92%
Ambev, ADR 1.90%
Telekomunikasi Indonesia 1.81%
Thai Beverage 1.75%

Portfolio Statistics

Number of Holdings 115
as of 05/31/16
Portfolio Turnover Rate 125.89%
as of fiscal year end 10/31/15
P/E Ratio 3 14.21
as of 04/30/16

Investors should consider the investment objectives, risks, charges, and expenses of the fund carefully before investing. Download a prospectus, or a summary prospectus, if available, that contains this and other information about the fund, and read it carefully before investing.

Notes & Disclosures
  1. Portfolio composition and allocation is as of 05/31/16 and is subject to change at any time. Totals may not be exact due to rounding. Negative exposures may represent short positions through derivatives. Asset Exposure percentages include any exposure through long future positions but do not include any short positions or currency transactions.
  2. The holdings listed should not be considered recommendations to buy or sell a security. Large concentrations can increase share price volatility.
  3. Price/earnings for a stock is the ratio of the company's most recent month-end share price to the company's estimated earnings per share (EPS) for the current fiscal year. If a third-party estimate for the current year EPS is not available, Morningstar will calculate an internal estimate based on the most recently reported EPS and average historical earnings growth rates. Price/ earnings is one of the five value factors used to calculate the Morningstar Style Box. For portfolios, this historical P/E data point is calculated by taking an asset-weighted average of the earnings yields (E/P) of all the stocks in the portfolio and then taking the reciprocal of the result. Source: Morningstar
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