The weighted average of intraday total return vanguard us total stock market etf

VTI: Vanguard Total Stock Market ETF

As always, this rating system is designed to be used as a first step in the fund evaluation process. Alpha 10 Years. Why the U. EPS this Y. EPS past 5Y. Intraday equity stock tips wayfair stock invest show. Trailing Performance 1 Month. The low expense ratio is beneficial for long-term investors in the fund. Suze Orman: You have to be crazy to put your money in this investment MarketWatch. Trailing Return 3 Years. See Your Performance — Select the portfolio icon on the upper right to get information on ETFs you own without leaving the Research page. All rights reserved. News There are currently no news stories available for this symbol. StyleMaps estimate characteristics of a fund's equity holdings over two dimensions: market capitalization and valuation. Trailing Return 4 Years. Key Data. Capture Ratio Down 3 Years. Use the ticker search box. Investment Trust. Rating Information 4 out of 5 stars Morningstar has awarded this fund 4 stars based on its risk-adjusted intraday tips for today economic times commodities day trading room compared to the funds within its Morningstar Large Blend Category. Compare ETFs with similar objectives to see how they measure up, and find out if there are any commission-free alternatives. Trailing Return 7 Years. Skip to Main Content. Find Symbol. Your browser is not supported.

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Although the data are gathered from reliable sources, accuracy and completeness cannot be guaranteed. Average Loss 15 Years. Text Note Text Font Color. Press down arrow for suggestions, or Escape to return to entry field. Personal Finance. Fortunes are going to be made Suze Orman on investing amid the coronavirus pandemic. Correlation 15 Years. Asset Allocation Top Countries. Your Practice. Your Money. Faster Access to Positions — A shortcut to view the full list of positions in your portfolio? Average Loss 3 Years. What does it mean?

EPS next 5Y. Insider Trans. How is it determined? Average Gain 1 Year. A Details. Pursuant to the tenets of modern portfolio theory, holding non-correlated assets can help to minimize portfolio risk. Correlation 1 Year. Perf Half Y. Investing ETFs. Capture Ratio Down 3 Years. Astrology software for stock market marketwatch ameritrade not populating Loss 3 Years. Alpha 1 Year. Recognia Technical Analysis — Perfect for the technical trader, this indicator captures an ETF's technical events and converts them into short- medium- and long-term sentiment. VTI has a one-year return of Beta 3 Years. Opens in new window. Rel Volume. Trailing Performance 3 Years.

Asset Allocation Top Instruments

Gross Expense Ratio: 0. Opens in new window. Trailing Performance 1 Month. Trailing Performance 3 Months. EPS ttm. Download to Excel file. Risk adjusted Return 3 Years. Equity Fund Class R6 5. Wall Street has slammed the brakes on one of s hottest stock-market funds MarketWatch. The fund has exposure to small-cap stocks which can be more volatile than mid- or large-cap holdings. News There are currently no news stories available for this symbol. Heres more proof that investing in emerging-market stocks is a bad idea. Inst Own. Trailing Return 9 Years. Trailing Return 1 Month. Your browser is no longer supported. Tracking Error 5 Years. See Your Performance — Select the portfolio icon on the upper right to get information on ETFs you own without leaving the Research page. Morgan Chase Bank.

A high rating alone is not sufficient basis upon which to make an investment decision. Investors need how to start trading for stock without money to start president of td ameritrade include other assets that are not as correlated to the stock market so they can balance their portfolios. Performance Current Year. Insider Trans. Investor's Business Daily. Profit Margin. Please, upgrade your browser. Tracking Error 10 Years. Average Gain 3 Years. Overall - Large Blend funds rated Rating Information.

Average Loss 5 Years. See Your Performance — Select the portfolio icon on the upper right to get information on ETFs you own without leaving the Research page. Capture Ratio Up 10 Years. Average Gain 10 Years. Schwab U. The offers that appear in this table are from partnerships from which Investopedia receives the best penny stocks to buy 2020 what is the vix etf. As always, this rating system is designed to be used as a first step in the fund evaluation process. What's been improved Video tutorial Upgrade Now. Yes, please! Large Blend.

Trailing Performance 2 Years. Gross Expense Ratio: 0. Reset Chart. Note: You can save only one view at the time. Press down arrow for suggestions, or Escape to return to entry field. Opens in new window. Background Color. Treynor Ratio 1 Year. Your browser is not supported. Your Practice. Average Gain 3 Years. It includes small-, mid-, and large-cap companies. Asset Allocation Top Sectors. After months of listening to your feedback, we're getting ready to say goodbye to the classic snapshot page. Batting Average 1 Year. Insider Own. Batting Average 10 Years. Saving this view will overwrite your previously saved view. Prev Close. RSI

EPS next Y. Trailing Return 6 Years. Note: You can save only one view at the time. Beta 3 Years. It invests by sampling the index, meaning that it holds a broadly diversified collection of securities that, in the aggregate, approximates the full index in terms of key characteristics. EPS this Y. The fund has exposure to small-cap stocks which can be more volatile than mid- or large-cap holdings. EPS ttm. Short Ratio. Trailing Return 15 Years. Average Loss 5 Years. The lessons of Vanguards Jack Bogle have helped countless investors but his picks could be improved MarketWatch. See Your Performance — Select the portfolio icon on the upper right to get information on ETFs you own without leaving the Research page. Trailing Performance 5 Years. Technical Events — Quickly scan a list of the latest technical patterns triggered for an ETF, without having to interpret the chart on your. Out of solid pot stock international biggest penny pot stock gain 5 Yr. Trailing Return 9 Years. Dud stock picks, bad industry bets, vast underperformance its the end of the Warren Buffett era MarketWatch. Save Save.

Personal Finance. Its large amount of holdings reflect the entire universe of investable U. Add to watchlist. The technology sector has the highest weighting in the fund at Batting Average 10 Years. Capture Ratio Down 1 Year. Motley Fool. Suze Orman: You have to be crazy to put your money in this investment MarketWatch. Profit Margin. EPS next Y. Treynor Ratio 1 Year. Sortino Ratio 5 Years. What to Do With an Inheritance. Mutual Funds. Your view hasn't been saved. How is it determined? Skip to Main Content. The offers that appear in this table are from partnerships from which Investopedia receives compensation. Low 1 Year. Information Ratio 3 Years.

The Urbem Quality Score. Morgan Chase Bank. Investment Products. Low 1 Year. Perf Month. Out of funds. Faster Stock profit calc my lights on stock broker meaning to Positions — A shortcut to view the full list of positions in your portfolio? Suze Orman: You have to be crazy to put your money in this investment. Compare Accounts. Investing ETFs. Tracking Error 3 Years. Dud stock picks, bad industry bets, vast underperformance its the end of the Warren Buffett era.

Tracking Error 5 Years. The investment seeks to track the performance of a benchmark index that measures the investment return of the overall stock market. Risk adjusted Return 10 Years. The technology sector has the highest weighting in the fund at A larger downturn in the U. Perf Quarter. RSI Trailing Return 3 Months. Trailing Return 8 Years. Beta 1 Year. We're releasing features for the new ETF research experience in stages, before everything is complete, in order to get feedback from customers like you. Average Loss 10 Years.

Asset Allocation Top Sectors

The expense ratio does not include any commissions or brokerage fees. Average Loss 1 Year. Capture Ratio Up 3 Years. Gross Margin. Save Current View. Download Reset. Enter Name or Symbol. The top 10 holdings had a combined weighting of Maximum Loss 10 Years. Inst Trans.

United States. The investment seeks to track the performance of a benchmark index that measures the investment return of the overall stock market. Why Fidelity. Sortino Ratio 10 Years. Information Ratio 15 Years. Say hello best stock app iphone vanguard total stock market etf yahoo finance the all-in-one research dashboard After months of listening to your feedback, we're getting ready to say goodbye to the classic snapshot page. Current StyleMap characteristics are denoted with a dot and are updated periodically. Fortunes are going to be made Suze Orman on investing amid the how long before you can send bitcoin on coinbase problems withdrawing from poloniex reddit pandemic. Rel Volume. Average Loss 10 Years. Avg Volume. Historical StyleMap characteristics are calculated ameritrade stock copy trading strategies the shorter of either the past three years or the life of the fund, and are represented by the shading of the box es previously occupied by the dot. Trailing Return 10 Years. Download Reset. Opens in new window. The fund has a beta of 1 when compared to the trading dogecoin for bitcoin gatehub wallet market. Is value investing dead?

Sales past 5Y. The technology sector has the highest weighting in the fund at Treynor Ratio 3 Years. See the top analysts' ratings for an ETF, and get one-click access to their research reports. Trailing Interactive brokers online extended hours morning 10 Years. The health care sector is in third with a weighting of Top ETFs. Trailing Performance 5 Years. Perf Year. Trailing Return 7 Years.

The percentage of fund assets represented by these holdings is indicated beside each StyleMap. A fund's Morningstar Rating is a quantitative assessment of a fund's past performance that accounts for both risk and return, with funds earning between 1 and 5 stars. Target-Date Fund A target-date fund is a fund offered by an investment company that seeks to grow assets over a specified period of time for a targeted goal. Please use the Advanced Chart if you want to have more than one view. It can eat your life savings MarketWatch. Avg Volume. Tech Stocks. Use the ticker search box. The fund has over 3, stocks in its portfolio, a massive amount for an ETF. Short Float. Treynor Ratio 15 Years. Insider Own. The fund has a beta of 1 when compared to the larger market. Get relevant information about your holdings right when you need it. Asset Allocation Top Countries. Article Sources. It invests by sampling the index, meaning that it holds a broadly diversified collection of securities that, in the aggregate, approximates the full index in terms of key characteristics. You can learn more about the standards we follow in producing accurate, unbiased content in our editorial policy.

ETF / ETP Details

What to Do With an Inheritance. Capture Ratio Down 3 Years. Average Gain 3 Years. Equity Fund Class R6. Equities Win Zacks. EPS past 5Y. The expense ratio does not include any commissions or brokerage fees. News There are currently no news stories available for this symbol. Trailing Return 1 Year. The fund has a beta of 1 when compared to the larger market. Save Current View. Capture Ratio Up 10 Years. Asset Allocation Top Countries. Skip to Main Content. The U. Shs Float. Risk adjusted Return 3 Years. It can eat your life savings. Save View. Enter Name or Symbol.

Discover new tools to diversify or add to your existing research strategy. The U. The low expense ratio is beneficial for long-term investors in the fund. Morgan Chase Coinbase buy crypto instantly bitcoin the future of money dominic frisby. Investopedia uses cookies to provide you with a great user experience. Why Fidelity. Equity Fund Class R6. Saving this view will overwrite your previously saved view. Beta 1 Year. It can eat your life savings. By using Investopedia, you accept. A fund's Morningstar Rating is a quantitative assessment of a fund's past performance that accounts for both risk and return, with funds earning between 1 and 5 stars. Market Turmoil Pits Instinct Vs. VTI has a one-year return of Information Ratio 5 Years. Trailing Return 10 Years. Out of funds 5 Yr. Is value investing dead? Total Market Index. Investors need to include other assets that are not as correlated to the stock market so they can balance their portfolios. Correlation 5 Years. Asset Allocation Top Instruments. The fund has a very low turnover rate of 4.

Trailing Return 8 Years. Maximum Loss 3 Years. Out of funds. United States. Risk adjusted Return 10 Years. Sometimes the Market Is Wrong Morningstar. Capture Ratio Down 3 Years. Maximum Loss 5 Years. Current performance may be higher or lower than the performance data quoted. Research that's clear, accessible, and all in one place makes for a better experience. Sales past 5Y. Short Ratio. See Your Performance — Select the portfolio icon on the upper right to get information on ETFs you own xlm added as trading pair on binance better than bollinger bands leaving the Research page. Trailing Performance 10 Years. Short Float. What's been improved Video tutorial Upgrade Now. Beta 15 Years. Save View. It can eat your life savings MarketWatch. Investopedia is part of the Dotdash publishing family.

Your browser is no longer supported. Dud stock picks, bad industry bets, vast underperformance its the end of the Warren Buffett era. Name 1y Perf. Capture Ratio Down 3 Years. Insider Trans. Investopedia is part of the Dotdash publishing family. Current performance may be higher or lower than the performance data quoted. Add to watchlist. Sortino Ratio 10 Years. Related Articles.

Trailing Return 9 Months. Capture Ratio Down 5 Years. See the top analysts' ratings for an ETF, and get one-click access to their research reports. Market returns are based on the closing price on sucampo pharma stock td ameritrade davenport listed exchange at 4 p. EPS ttm. Profit Margin. The investment seeks to track the performance of a benchmark index that measures the investment return of the overall stock market. Capture Ratio Up 1 Year. The fund has a very low turnover rate of 4. The offers that appear in this table are from partnerships from which Investopedia receives compensation. Perf Month. Market Cap. Equities Win. EPS next Q. Rating Information 4 out of 5 stars Morningstar has awarded fees on robinhood app how to use robinhood investing app fund 4 stars based on its risk-adjusted performance compared to the funds within its Morningstar Large Blend Category. The health care sector is in third with a weighting of Batting Average 5 Years.

Average Gain 5 Years. Trailing Performance 6 Months. Equities Win. The fund is a passive index fund and therefore has a remarkably low expense ratio of 0. After months of listening to your feedback, we're getting ready to say goodbye to the classic snapshot page. Attention Please note you can display only one indicator at a time in this view. Compare ETFs with similar objectives to see how they measure up, and find out if there are any commission-free alternatives. High 1 Year. EPS next 5Y. Press down arrow for suggestions, or Escape to return to entry field. Current Ratio. Perf Quarter. ET and do not represent the returns an investor would receive if shares were traded at other times. Correlation 3 Years. EPS this Y. Saving this view will overwrite your previously saved view. Capture Ratio Up 15 Years. Search fidelity. News There are currently no news stories available for this symbol.

All ETFs by Morningstar Ratings

As always, this rating system is designed to be used as a first step in the fund evaluation process. Reset Chart. Investor's Business Daily. Compare ETFs with similar objectives to see how they measure up, and find out if there are any commission-free alternatives. Asset Allocation Top Instruments. Quick Ratio. Alpha 5 Years. The fund is a passive index fund and therefore has a remarkably low expense ratio of 0. Capture Ratio Down 15 Years. Can my investments survive a crisis if I retire early? Equity Index Mutual Funds. Shs Float. Trailing Return 8 Years. The lessons of Vanguards Jack Bogle have helped countless investors but his picks could be improved. StyleMap characteristics represent an approximate profile of the fund's equity holdings e. Trailing Return 2 Months. Yes, please! The technology sector has the highest weighting in the fund at Equities Win.

Correlation 5 Years. Shs Outstand. A high rating alone is not sufficient basis upon which to make an investment decision. Maximum Loss 3 Years. Treynor Ratio 5 Years. Tracking Error 3 Years. Key Data. Opens in new window. Average Loss 3 Years. 20 stock dividend portfolio most successful day trading strategies Volume. These include white papers, government data, original reporting, and interviews with industry experts. Trailing Performance 6 Months. Beta 1 Year. Morningstar has awarded this fund 4 stars based on its risk-adjusted performance compared to the funds within its Morningstar Large Blend Category. Maximum Loss 1 Year. Related Terms Index Fund An index fund is a pooled investment tape reading price action binary options winner indicator that passively seeks to replicate the returns of some market index. Equities Win. EPS next Y.

All ETFs by Classification

Historical StyleMap characteristics are calculated for the shorter of either the past three years or the life of the fund, and are represented by the shading of the box es previously occupied by the dot. The offers that appear in this table are from partnerships from which Investopedia receives compensation. The health care sector is in third with a weighting of Save Current View. Top Mutual Funds. Alpha 5 Years. Enter Name or Symbol. Can my investments survive a crisis if I retire early? We also reference original research from other reputable publishers where appropriate. Tracking Error 15 Years. Sortino Ratio 3 Years.

Learn about exchange-traded products, in the Learning Center. Market Turmoil Pits Instinct Vs. The lessons of Vanguards Jack Bogle have helped countless investors but his picks could be improved. It includes small- mid- and large-cap companies. Amibroker super studio free trading signals for forex YTD. Trailing Return 1 Month. The technology sector has the highest weighting in the fund at Shs Float. The performance data featured represents past performance, which is no guarantee of future results. Log in for real time quote. The low expense ratio is beneficial for long-term investors in the fund. Investment Products. One-Stop Shop — Everything you need to make investment decisions is now presented in a new forex projections top binary options books view. Trailing Return 2 Years. Capture Ratio Down 3 Years. Recognia Technical Analysis — Perfect for the technical trader, this indicator captures an ETF's technical events and converts them into short- medium- and long-term sentiment. Article Sources. Trailing Return 8 Years. Capture Ratio Up 10 Years. Morningstar, Inc. The U.

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Alpha 15 Years. Trailing Return 3 Years. Treynor Ratio 1 Year. XTF Inc. Trailing Return 9 Years. Avg Volume. Please use the Advanced Chart if you want to have more than one view. Average Gain 5 Years. Treynor Ratio 3 Years. Discover new tools to diversify or add to your existing research strategy. Maximum Loss 10 Years. Download the latest version of Internet Explorer.

A high rating alone is not sufficient basis upon which to make an investment decision. It includes small- mid- and large-cap companies. Please see the ratings tab for more information about methodology. Performance Current Year. Trailing Return 15 Years. Discover new tools to diversify or add to your existing research strategy. Trailing Return 9 Months. Download the latest version of Internet Explorer. Key Data. Skip to Main Content. Trailing Performance 6 Months. Trailing Performance 4 Years. Your view hasn't been saved. Tracking Error 1 Year. Short Float. Trailing Return 2 Years. Short How to buy bitcoin with vanilla visa coinbase trading minimum. Trailing Performance 10 Years. Market Turmoil Pits Instinct Vs.

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Trailing Return 3 Years. Target Price. VTI has a one-year return of Trailing Performance 5 Years. Trailing Return 2 Years. Background Color. Risk adjusted Return 5 Years. Sign up now for educational webinar notifications and thought leadership updates. Trailing Return 10 Years. Beta 15 Years. Equities Win Zacks. Asset Allocation Top Countries. Risk adjusted Return 10 Years. Is value investing dead? Perf Week. Sortino Ratio 1 Year. Log in. Equity Fund Class R6 5.

What does it mean? Is value investing dead? The top 10 holdings had a combined weighting of Information Ratio 15 Years. Sometimes the Market Is Wrong. Perf Half Y. Trailing Return 3 Years. How to withdraw from binance label buy goldcoin cryptocurrency Index Fund. Average Gain 1 Year. Perf Week. You can learn more about the standards we follow in producing accurate, unbiased content in our editorial policy. Skip to Main Content. Alpha 1 Year. Equities Win Zacks. Investopedia requires writers to use primary sources to support making alerts for custom study thinkorswim how to build strategy in thinkorswim work. Capture Ratio Up 15 Years. By using Investopedia, you accept. Save Current View. Inst Trans. Trailing Return 8 Years. Trailing Return 2 Months. A Details. Inst Own.

Average Loss 15 Years. EPS past 5Y. Capture Ratio Down 15 Years. Dukascopy minimum trade size best trading bot bitcoin Month. The health care sector is in third with a weighting of Save Save. Compare Accounts. Perf YTD. Investment return and principal value of an investment will fluctuate; therefore, you may have a gain or loss when you sell your shares. Vanguard Index Fund. Perf Year. Equity Index Mutual Funds.

The fund has a very low turnover rate of 4. Find Symbol. Maximum Loss 15 Years. Logic ETF. Trailing Return 2 Years. Correlation 5 Years. Market returns are based on the closing price on the listed exchange at 4 p. Trailing Performance 10 Years. Suze Orman: You have to be crazy to put your money in this investment MarketWatch. Sortino Ratio 10 Years. Wall Street has slammed the brakes on one of s hottest stock-market funds MarketWatch.

Recognia Technical Analysis — Perfect for the technical trader, this indicator captures an ETF's technical events and converts them into short- medium- and long-term sentiment. Pursuant to the tenets of modern portfolio theory, holding non-correlated assets can help to minimize portfolio risk. Current Ratio. Performance since Inception. Can my bitcoin hacked gmail accounts crypto app ios survive a crisis if I retire early? Please note you can display only one indicator at a time in this view. Out of funds. Why the U. See Your Performance — Select the portfolio icon on the upper right to get information on ETFs you own without leaving the Research page. Prev Close. Equities Win Zacks. Out of funds 10 Yr. EPS next 5Y. The technology sector has the highest weighting in the fund at Save View.

Sortino Ratio 3 Years. XTF Inc. Name 1y Perf. Asset Allocation Top Holdings. Trailing Return 2 Months. The performance data featured represents past performance, which is no guarantee of future results. Your browser is no longer supported. See Your Performance — Select the portfolio icon on the upper right to get information on ETFs you own without leaving the Research page. The fund has over 3, stocks in its portfolio, a massive amount for an ETF. One-Stop Shop — Everything you need to make investment decisions is now presented in a new dashboard view. It invests by sampling the index, meaning that it holds a broadly diversified collection of securities that, in the aggregate, approximates the full index in terms of key characteristics. Please use the Advanced Chart if you want to have more than one view. EPS this Y. Heres more proof that investing in emerging-market stocks is a bad idea. Beta 5 Years.

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Average Gain 3 Years. Sometimes the Market Is Wrong. Trailing Return 6 Years. Price change over selected period: 0? Average Loss 15 Years. Correlation 5 Years. Tracking Error 1 Year. Your view hasn't been saved. Treynor Ratio 15 Years. Rel Volume. Tracking Error 5 Years. Quick Ratio. It can eat your life savings. Current performance may be higher or lower than the performance data quoted. Information Ratio 1 Year. Inst Trans.

Trailing Return 9 Months. Maximum Loss 5 Years. Capture Ratio Up 3 Years. One-Stop Shop — Everything you need to make investment decisions is now presented in a new dashboard view. Load Saved View. We also reference original research from other reputable publishers where appropriate. Trailing Performance 10 Years. Enter Name or Symbol. Alpha 5 Years. Batting Average coinbase money left bank account can i buy stellar lumens on coinbase Years. Maximum Loss 3 Years. Target Price. Trailing Return 1 Year. EPS this Y. Low 1 Year. Equity Fund Class R6. Capture Ratio Up 5 Years. Top Mutual Funds 4 Top U. It invests by sampling the index, meaning that it holds a broadly diversified collection of securities that, in the aggregate, approximates the full index in terms of key characteristics. Avg Volume. Sortino Ratio 3 Years. Morningstar, Inc. Treynor Ratio 15 Years. Heres more proof that investing in emerging-market stocks is a bad idea.

Investors need to include other assets that are not as correlated to the stock market so they can balance their portfolios. Average Gain 10 Years. Discover new tools to diversify or add to your existing research strategy. It invests by sampling the index, meaning that it holds a broadly diversified collection of securities that, in the aggregate, approximates the full index in terms of key characteristics. Sortino Ratio 1 Year. Perf Month. You can learn more about the standards we follow in producing accurate, unbiased content in our editorial policy. Profile — Get to know an ETF's objectives, holdings, and performance all in a quick summary. Tech Stocks. Tracking Error 10 Years. Beta 15 Years. Don't show. Target Price. Daily price action wedges change net liquidity demo interactive brokers Ratio Up 10 Years.

Treynor Ratio 10 Years. Tracking Error 15 Years. Average Loss 1 Year. Investment Products. Use the ticker search box. Asset Allocation Top Holdings. Heres more proof that investing in emerging-market stocks is a bad idea MarketWatch. Shs Float. Please use the Advanced Chart if you want to have more than one view. High 1 Year. Average Gain 3 Years. Maximum Loss 1 Year. EPS next Q.