VANGUARD INDEX TRUST TOTAL STOC
Net Asset Value: | 31.37 |
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Trade Time: | Nov 4 |
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Change: | 0.17 (0.54%) |
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Prev Close: | 31.54 |
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YTD Return*: | -9.91% |
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Net Assets*: | 145.82B |
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Yield*: | 1.98% |
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* As of 30-Sep-11
Quotes delayed, except where indicated otherwise. Currency in USD.
- 40 Years Of Investment Experience Lead This Portfolio Manager To View Large Cap Technology Value Stocks As Fabulous Investments: An Interview With Bobby Edgerton Of Capital Investment CompaniesWall Street Transcript(Fri, Nov 4)
- Fixed Income And Equity Investments In Latin America Detailed In This Exclusive Interview With Experienced Portfolio Manager Heiner SkaliksWall Street Transcript(Tue, Oct 25)
- Emerging Markets Portfolio Manager Identifies All His Top International Picks: An Interview With Lewis KaufmanWall Street Transcript(Mon, Oct 24)
- Portfolio Insights by Brett Arends: The real bear marketat MarketWatch(Mon, Oct 24)
- Vanguard Drops Mellon, Alters LifeStrategy; More Changes Afoot?at Barrons.com(Fri, Sep 30)
- Vanguard Moves to Merge Away Asset Allocation FundMorningstar(Fri, Sep 30)
- American Funds’ Flagship Loses Top Rankat Bloomberg(Wed, Sep 28)
- Small And Mid Cap Growth Stock Picks: An Interview With Paul C. Hogan Of Fenimore Asset ManagementWall Street Transcript(Tue, Sep 27)
- Mark Hulbert: 2 stocks and 4 funds the long-term best now holdat MarketWatch(Tue, Sep 6)
- How Much Exposure To Apple Does Your Fund Hold?at Barrons.com(Thu, Aug 25)
Top Holdings
Symbol | % Assets | YTD Return % |
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XOM | 2.82 | 10.11 |
XOM | 2.69 | -0.81 |
AAPL | 2.06 | 16.13 |
CVX | 1.44 | 17.13 |
GE | 1.42 | -0.16 |
Fund Basics
Morningstar Overall Rating: | |
Total Assets: | 145.82B |
Category: | Large Blend |
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Annual Report Expense Ratio (net): | 0.17% |
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Performance & Risk
YTD Return: | -9.91% |
5y Avg Return: | -0.71% |
Rank in Category (ytd): | 37 |
% Rank in Category (ytd): | 1.94% |
Beta (3y): | 1.04 |
Morningstar Risk Rating: | 3 |
Fund Summary
The investment seeks to track the performance of a benchmark index that measures the investment return of the overall stock market.
The fund employs a passive management strategy designed to track the performance of the MSCI US Broad Market Index, which represents 99.5% or more of the total market capitalization of all the U.S. common stocks regularly traded on the New York Stock Exchange and the Nasdaq over-the-counter market. It holds a broadly diversified collection of securities that, in the aggregate, approximates the full index in terms of key characteristics.
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