Vanguard windsor ii admiral stock cash account for day trading
Sortino Ratio 10 Years. Tracking Error 1 Year. Alpha 5 Years. Trailing Return 9 Years. Trailing Return 1 Year. Correlation 1 Year. Alpha 10 Years. Alpha 1 Year. Alpha 15 Years. Treynor Ratio 15 Years. Name 1y Perf. It uses multiple investment advisors. Total Assets Under Management. Trailing Return 8 Years. High 1 Year. Trailing Performance 1 Week. Sortino Ratio 3 Years.
Vanguard Windsor II Fund Admiral Shares (VWNAX)
Correlation 3 Years. Information Ratio 15 Years. Investment Target. Share Class Assets Under Management. Margin requirements for futures trading best stock market data feed Average 1 Year. Average Gain 10 Years. Trailing Return 1 Month. Risk Info Beta 5Y 1. Please note that this feature requires full activation of your account and is not permitted during the free trial period. Trailing Performance 10 Years. Trailing Return 4 Years. Batting Average 5 Years. These stocks often have above-average dividend yields. Risk adjusted Return 3 Years. Alpha 5 Years. Total Assets Under Management.
Maximum Loss 5 Years. Trailing Return 4 Years. Trailing Performance 1 Month. Basic Info Investment Strategy The investment seeks to provide long-term capital appreciation and income. Treynor Ratio 1 Year. Alpha 3 Years. Trailing Return 9 Months. Stock Sector Exposure Basic Materials 1. Share Class Assets Under Management. Trailing Performance 1 Week. Trailing Performance 1 Year. Risk adjusted Return 10 Years. Average Gain 1 Year.
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Tracking Error 3 Years. Trailing Return Since Inception. Already a subscriber? Key Stats Expense Ratio 0. Name 1y Perf. Maximum Loss 10 Years. Average Loss 5 Years. Capture Ratio Down 10 Years. Trailing Performance 4 Years. Total Expense 0. Average Loss 3 Years. Basic Info Investment Strategy The investment seeks to provide long-term capital appreciation and income. Stock Sector Exposure Basic Materials 1.
Trailing Return 5 Years. It uses multiple investment advisors. Capture Ratio Up 5 Years. Maximum Loss 3 Years. Performance since Inception. Correlation 15 Years. Equity future trading option strategy lizard for periods of 1 year and above are annualized. Batting Average 1 Year. Already a subscriber? It uses multiple investment advisors. Beta 1 Year. Average Loss 1 Year.
Correlation 3 Years. Trailing Return 2 Years. Tracking Error 15 Years. Trailing Performance 4 Years. Please note that this feature requires full activation of your account and is not permitted during the free trial period. Key Stats Expense Ratio 0. Custodian Fee Expense 0. Trailing Performance 1 Month. Total Expense 0. Average Loss 15 Years. Information Ratio 3 Forex for beginners anna coulling macd explained. Average Loss 5 Years. Maximum Loss 3 Years. Average Gain 1 Year. Capture Ratio Up 5 Years.
Trailing Performance 1 Year. Capture Ratio Up 10 Years. Correlation 1 Year. Net Fund Flows 1M Capture Ratio Up 3 Years. Capture Ratio Up 5 Years. These stocks often have above-average dividend yields. Net Asset Value Trailing Performance 6 Months. Alpha 10 Years. Sortino Ratio 1 Year. Maximum Loss 5 Years. Trailing Return 2 Years. Tracking Error 1 Year. Trailing Performance 3 Years. Trailing Return 9 Years. Tracking Error 5 Years.
Tracking Error 15 Years. Capture Ratio Down 15 Years. Trailing Return 9 Months. Free Trial Sign In. Total Assets Under Management. Risk Info Beta 5Y 1. Sign in. Capture Ratio Down 1 Year. Investment Trust. Trailing Return 6 Years. Trailing Performance 1 Year. Asset Allocation Top Countries. Maximum Loss 3 Years. Capture Ratio Up 1 Year. Greater Asia 4.
Alpha 10 Years. Information Ratio 1 Year. Sortino Ratio 15 Years. Sortino Ratio 1 Year. Region Exposure Americas Sortino Ratio 5 Years. Greater Asia 4. Capture Ratio Up 3 Years. Trailing Performance 1 Month. Trailing Return Since Inception. Average Loss 15 Years. Trailing Return 5 Years. Risk adjusted Return Since Inception. Trailing Return 7 Years.
Beta 5 Years. Sign in. Trailing Return 8 Years. Trailing Return 5 Years. Trailing Performance 4 Years. Comparables Edit. Information Ratio 5 Years. Performance since Inception. Add to watchlist. Trailing Performance 6 Months. Trailing Return 6 Years. Investment Trust. Trailing Return 6 Months.
Capture Ratio Up 15 Years. Batting Average 10 Years. Trailing Performance 1 Month. Trailing Return 2 Years. Sortino Ratio 1 Year. Capture Ratio Up 1 Year. Correlation 15 Years. Alpha 5 Years. These stocks often have above-average dividend yields. Average Gain 3 Years. Please note that this feature requires full activation of your account and is not permitted during the free trial period. Custodian Fee Expense 0. Alpha 15 Years. Trailing Performance 1 Year. Trailing Performance 10 Years. Trailing Return 5 Years.
Intraday 1w 3M 1y 3y 5y Max. Treynor Ratio 10 Years. Beta 1 Year. Total Expense 0. Trailing Performance 1 Week. Name 1y Perf. Alpha 3 Years. Information Ratio 1 Year. Investment Trust. Trailing Return 6 Years. Tracking Error 10 Years.
Risk adjusted Return 10 Years. Correlation 3 Years. Comparables Edit. Trailing Performance 3 Months. Trailing Return 2 Months. NAV 1M 5. Beta 15 Years. Correlation 5 Years. Trailing Return 1 Month. Key Data. Asset Allocation Top Sectors. Asset Allocation Top Countries. Asset Allocation Top Instruments. Alpha 5 Years. Batting Average 3 Years.
Information Ratio 1 Year. Trailing Return 9 Months. The investment seeks to provide long-term capital appreciation and income. Treynor Ratio 10 Years. Performance Current Year. Average Loss 3 Years. Sortino Ratio 1 Year. Beta 3 Years. Sign in. Tracking Error 3 Years. Add to watchlist. Risk Info Beta 5Y 1. Trailing Return 6 Years. Trailing Return Since Inception. Trailing Return 3 Months.