WBIRX

International Growth Fund

Share Class

Daily NAV (USD)

$30.08

As of 02/27/2026

Why Consider This Fund?

Approach
  • Invests in a broad international portfolio of approximately 180 to 240 stocks diversified across market cap, region, industry, and corporate lifecycle
  • Provides broad non-U.S. exposure with a structural weight to emerging markets and small-cap companies
  • Combines deep fundamental research with systematic inputs to seek to consistently identify alpha opportunities

Fund Facts

Fund FactsAs of 01/31/2026
Total Net Assets ($Million)$1,115
Number of Holdings166
Inception Date05/02/2019
Expense Ratio (Gross)0.91%
Expense Ratio (Net)0.85%
Ticker SymbolWBIRX
CUSIP969251552
BenchmarkMSCI All Country World ex-U.S. IMI Index (net)
Morningstar CategoryForeign Large Growth

The Fund's Adviser has contractually agreed to waive fees and/or reimburse expenses to limit fund operating expenses until 4/30/26.