William Blair Profile

USD 0.16  1.52%

William Blair Summary

William Blair Small Mid Cap Value N [BSMNX] is traded in USA and was established February 20, 2019. The fund is listed under Small Blend category and is part of William Blair family. The entity is thematically classified as Small Blend. William Blair Small currently has accumulated 1.79M in assets under management (AUM) with minimum initial investment of 2.5K. , while the total return for the last 3 years was 16.89%.
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Instrument Allocation

Sector Allocation (%)

Top Fund Constituents

William Blair Target Price Odds Analysis

Odds Below 10.71HorizonTargetOdds Above 10.71
94.89%30 days 10.71 5.05%
Based on normal probability distribution, the odds of William Blair to move above current price in 30 days from now is about 5.05% (This William Blair Small Mid Cap Value N probability density function shows the probability of William Blair Fund to fall within a particular range of prices over 30 days) .

William Blair Small Risk Profiles

William Blair Key Fundamentals

William Blair Against Markets

William Blair Current Ratings

William Blair Small Mid Cap Value N 30 Days Performance Scores

Risk Adjusted
Performance Score (0 to 100)
Chance of
Financial Distress (0 to 100%)
Equity ratings for William Blair Small Mid Cap Value N are calculated dynamically based on Macroaxis scoring framework. Click here to learn more
The fund normally invests at least 80 percent of its net assets in equity securities of small capitalized and medium capitalized companies. William Blair is traded on NASDAQ Stock Exchange in USA. more
NameWilliam Blair Small Mid Cap Value N
Thematic Classification
Currently Active Investing Idea
Small Blend
  Small Blend
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Macroaxis Advice
InstrumentUSA Fund View All
Business AddressWilliam Blair Funds
ExchangeNASDAQ Stock Exchange
Fund FamilyWilliam Blair
Fund CategorySmall Blend
Phone800 635 2886
CurrencyUSD - US Dollar
Beta In Three Year1.15
StartdateDecember 15, 2011
Check also Trending Equities. Please also try Price Exposure Probability module to analyze equity upside and downside potential for a given time horizon across multiple markets.
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