Dreyfus International Equity Fund

  • Ticker: DIECX
  • Product Code: 0732
  • CUSIP: 26201F306
Share Class:


Fund Type: Equity
Portfolio Manager/Sub-Investment Adviser: Sean P. Fitzgibbon
Mark A. Bogar
Inception Date December 08, 1988
Total Assets (000s) Class C (as of 03/26/15): $9,010
Portfolio (as of 03/26/15): $320,904
Minimum Initial Investment $1,000
Minimum Subsequent Investment $100
Dividend Schedule Declared Annually,
Distributed Annually,
Paid Annually
Fiscal Year End Sep 30
Fund Status Open to new investors.

Performance 1

Average Annual Total Returns

as of 12/31/14
1 YR 3 YR 5 YR 10 YR Since
at NAV
-7.13% 12.23% 5.85% 3.08% 5.42% 12/08/88
with Sales Charge Max Sales Charge:  1.00%  CDSC
-8.06% 12.23% 5.85% 3.08% 5.42%  
MSCI-EAFE(r) Index 2
-4.90% 11.06% 5.33% 4.43%    

The performance data quoted represents past performance, which is no guarantee of future results. Share price and investment return fluctuate and an investor's shares may be worth more or less than original cost upon redemption. Current performance may be lower or higher than the performance quoted. Please use the pulldown menu above to view month-end performance.

Morningstar Rating 3

Overall Rating: 4 stars

Morningstar Overall Rating™ for Class C shares among 301 funds in the Foreign Large Value category as of 02/28/15. Ratings reflect risk-adjusted performance, and are derived from a weighted average of the fund's 3-, 5-, and 10-year (as applicable) ratings. As of 02/28/15 the fund received 4 and 4 stars for the 3- and 5-year periods out of 301 and 260 funds in the category. Past performance is no guarantee of future results. Other share classes may have different ratings.

Daily Statistics

as of 03/26/15
Change down arrow -0.34
12 Month High
12 Month Low

Prospectus Fee Table Expense Ratios

Total Expenses 2.17%
Net Expenses 1.90% 4

Dreyfus Investment Style 5

style box


The fund seeks long-term growth of capital. View the Strategy & Risks section for this fund for more information.

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. Performance is historical and not indicative of future results. Investment return and principal value will fluctuate and an investor will receive more or less than the original cost upon redemption.
  2. Source: Morningstar, Inc. All rights reserved. Reflects reinvestment of net dividends and, where applicable, capital gain distributions. The Morgan Stanley Capital International Europe, Australasia, Far East Index is a free float-adjusted market capitalization weighted index that is designed to measure equity performance in developed market excluding the United States and Canada. The index consists of 21 MSCI national developed market indices.
  3. The Ratings formula measures the amount of variation in a fund's performance and gives more emphasis to downward variations. The top 10% of the funds in the category receive five stars; the next 22.5% four stars; the next 35% three stars; the next 22.5% two stars; and the last 10% one star. Ratings reflect sales loads.The fund represents a single portfolio with multiple share classes that have different expense structures.
  4. The Dreyfus Corporation and The Boston Company Asset Management LLC has contractually agreed, with respect to each class of fund shares to assume the expenses of the class so that such expenses do not exceed the annual rates of expenses of 1.12% for class A, 1.90% for class C, and .85% for class I, until the fiscal year end following such time as the expenses are equal to or less than such annual rate for each class.
  5. The "Dreyfus Investment Style Classification" graphically depicts the fund's investment strategy as described in its Prospectus. The horizontal and vertical axes describe the fund's investment style and market capitalization range for stocks in the fund's portfolio, respectively. It is designed to support asset allocation decisions and not to depict actual fund holdings at a point in time.
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