Performance Current Year | -27.29 |
Performance since Inception | 172.27 |
High 1 Year | 65.93 |
Maximum Loss 1 Year | -27.12 |
Alpha 1 Year | -0.47 |
Alpha 10 Years | -0.05 |
Alpha 3 Years | -0.19 |
Alpha 5 Years | -0.15 |
Average Gain 1 Year | 2.95 |
Average Gain 10 Years | 3.04 |
Average Gain 3 Years | 4.00 |
Average Gain 5 Years | 3.40 |
Average Loss 1 Year | -4.95 |
Average Loss 10 Years | -3.36 |
Average Loss 3 Years | -4.48 |
Average Loss 5 Years | -4.12 |
Batting Average 1 Year | 58.33 |
Batting Average 10 Years | 50.00 |
Batting Average 3 Years | 47.22 |
Batting Average 5 Years | 51.67 |
Beta 1 Year | 0.98 |
Beta 10 Years | 0.99 |
Beta 3 Years | 1.00 |
Beta 5 Years | 1.00 |
Capture Ratio Down 1 Year | 101.14 |
Capture Ratio Down 10 Years | 100.00 |
Capture Ratio Down 3 Years | 100.76 |
Capture Ratio Down 5 Years | 100.65 |
Capture Ratio Up 1 Year | 104.39 |
Capture Ratio Up 10 Years | 99.61 |
Capture Ratio Up 3 Years | 99.98 |
Capture Ratio Up 5 Years | 99.90 |
Correlation 1 Year | 98.83 |
Correlation 10 Years | 99.31 |
Correlation 3 Years | 99.46 |
Correlation 5 Years | 99.45 |
High 1 Year | 65.93 |
Information Ratio 1 Year | 0.00 |
Information Ratio 10 Years | -0.05 |
Information Ratio 3 Years | -0.10 |
Information Ratio 5 Years | -0.10 |
Low 1 Year | 45.72 |
Maximum Loss 1 Year | -27.12 |
Maximum Loss 10 Years | -27.75 |
Maximum Loss 3 Years | -27.75 |
Maximum Loss 5 Years | -27.75 |
Performance Current Year | -27.29 |
Performance since Inception | 172.27 |
Risk adjusted Return 10 Years | 0.47 |
Risk adjusted Return 3 Years | -5.38 |
Risk adjusted Return 5 Years | -4.67 |
Risk adjusted Return Since Inception | -2.24 |
R-Squared (R²) 1 Year | 97.67 |
R-Squared (R²) 10 Years | 98.63 |
R-Squared (R²) 3 Years | 98.92 |
R-Squared (R²) 5 Years | 98.90 |
Sortino Ratio 1 Year | -1.73 |
Sortino Ratio 10 Years | 0.36 |
Sortino Ratio 3 Years | 0.00 |
Sortino Ratio 5 Years | -0.04 |
Tracking Error 1 Year | 2.50 |
Tracking Error 10 Years | 1.67 |
Tracking Error 3 Years | 1.98 |
Tracking Error 5 Years | 1.76 |
Trailing Performance 1 Month | -12.29 |
Trailing Performance 1 Week | -5.30 |
Trailing Performance 1 Year | -25.75 |
Trailing Performance 10 Years | 37.90 |
Trailing Performance 2 Years | -11.26 |
Trailing Performance 3 Months | -9.20 |
Trailing Performance 3 Years | -4.82 |
Trailing Performance 4 Years | 0.60 |
Trailing Performance 5 Years | -5.53 |
Trailing Performance 6 Months | -20.63 |
Trailing Return 1 Month | -10.02 |
Trailing Return 1 Year | -25.20 |
Trailing Return 10 Years | 3.33 |
Trailing Return 2 Months | -13.67 |
Trailing Return 2 Years | -3.52 |
Trailing Return 3 Months | -10.51 |
Trailing Return 3 Years | -1.13 |
Trailing Return 4 Years | -1.23 |
Trailing Return 5 Years | -0.67 |
Trailing Return 6 Months | -22.03 |
Trailing Return 6 Years | 2.41 |
Trailing Return 7 Years | 3.42 |
Trailing Return 8 Years | 1.53 |
Trailing Return 9 Months | -26.76 |
Trailing Return 9 Years | 1.90 |
Trailing Return Since Inception | 2.20 |
Trailing Return YTD - Year to Date | -26.76 |
Treynor Ratio 1 Year | -26.71 |
Treynor Ratio 10 Years | 2.64 |
Treynor Ratio 3 Years | -1.77 |
Treynor Ratio 5 Years | -1.87 |
Is Vanguard Total Stock Market ETF a good investment?
The Vanguard Total Stock Market ETF (VTI)
VTI is a balanced fund, with a healthy mix of small-cap, midcap, and blue-chip stocks. VTI is a highly efficient fund with a low expense ratio. AUM are also impressive at more than $271 billion.
What is the best Vanguard International ETF?
10 best Vanguard ETFs to buy: Vanguard S&P 500 ETF (VOO) Vanguard Total Stock Market ETF (VTI) Vanguard Total International Stock ETF (VXUS)
Is Vanguard Total International Stock good?
Vanguard Total International Stock Index Fund has few close rivals. Compared with its peers, it has one of the broadest portfolios and lowest expense ratios in the foreign large-blend Morningstar Category. That combination makes for an attractive long-term investment, earning a Morningstar Analyst Rating of Gold.
What is the best international index fund?
7 best international stock funds to buy:.
Fidelity Zero International Index Fund (FZILX).
Vanguard Global Equity Fund (VHGEX).
WisdomTree Trust China ex-State-Owned Enterprises ETF (CXSE).
iShares MSCI Emerging Markets ETF (EEM).
SPDR Portfolio Europe ETF (SPEU).
Fidelity International Real Estate Fund (FIREX).