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but a lot of it goes towards a $525 million dividend commitment and a couple $200 million to $300 million in acquisition activity. and so i guess, i am looking for something more than $800 million to fund that, realizing
As of June 2020, XLI owned more than 300 stocks, including small caps, making it a better-diversified option than the Industrial Select Sector SPDR Fund (XLI). FIDU is competitively priced when compared with rivals like XLI and the Vanguard Industrials ETF (VIS), but short-term traders ...
While past performance is no guarantee of future results, the Morningstar Return shows how the fund has done in the past in comparison to similar funds in its peer group. It does not, however, show the effects of risk. Therefore, the Morningstar Return is most helpful when used in conjunc...
While past performance is no guarantee of future results, the Morningstar Return shows how the fund has done in the past in comparison to similar funds in its peer group. It does not, however, show the effects of risk. Therefore, the Morningstar Return is most helpful when used in conjunc...
The other is the +Vanguard Total Bond Market Index Fund ETF Shares+ (BND A), which seeks to track the performance of the Bloomberg U.S. Aggregate Float Adjusted Index. BNDI offers almost a 50/50 split for exposure between the two funds, giving investors that core exposure to supplement ...
Alternative ETFs in the FactSet Equity: Developed Markets Ex-U.S. - Total Market Segment TypeSymbolExpense RatioAssetsAvg. Daily VolYTD Return CheapestSPDW0.03%$21.5 B2 M9.25% Largest (AUM)VEA0.06%$141.7 B8 M9.10% Most Liquid (Volume)VEA0.06%$141.7 B8 M9.10% ...
FPRO Stock Profile & Price Dividend & Valuation Expenses Ratio & Fees Holdings Holdings Analysis Charts Price and Volume Charts Fund Flows Charts Price vs Flows AUM Influence Charts ESG Performance Technicals Realtime Rating NEW! Advisor Report & Fact Sheet Read Next More at ETF Trends Data ...
While past performance is no guarantee of future results, the Morningstar Return shows how the fund has done in the past in comparison to similar funds in its peer group. It does not, however, show the effects of risk. Therefore, the Morningstar Return is most helpful when used in conjunc...
fund or the relative risk of a fund within a particular Morningstar category.Because the score is based on past performance, it may not reflect the future risk of the category. In addition to risk, you should evaluate a fund's investment objective, strategy, fees and other characteristics ...