vfv etf price

Vfv etf price

Key events shows relevant news articles on days with large price movements. XEQT 0. VEQT 0. XQQ 1.

Average annual returns at month and quarter end display for the most recent one year, three year, five year, ten year and since inception ranges. Monthly, quarterly, annual, and cumulative performance is also available in additional chart tabs. Index performance shown from December 1, has been updated to reflect the foreign withholding tax. The MER would have been 0. Vanguard Investments Canada Inc. Index performance shown from December 1, has been updated to reflect this foreign withholding tax.

Vfv etf price

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Standard Deviation and Sharpe Ratio are displayed for the Benchmark. Fund facts Inception date —.

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Key events shows relevant news articles on days with large price movements. XEQT 0. VEQT 0. XQQ 1. VGRO 0.

Vfv etf price

Average annual returns at month and quarter end display for the most recent one year, three year, five year, ten year and since inception ranges. Monthly, quarterly, annual, and cumulative performance is also available in additional chart tabs. Index performance shown from December 1, has been updated to reflect the foreign withholding tax. The MER would have been 0. Vanguard Investments Canada Inc. Index performance shown from December 1, has been updated to reflect this foreign withholding tax. All investments, including those that seek to track indexes, are subject to risk, including the possible loss of principal. Diversification does not ensure a profit or protect against a loss in a declining market. While ETFs are designed to be as diversified as the original indexes they seek to track and can provide greater diversification than an individual investor may achieve independently, any given ETF may not be a diversified investment. The performance of an index is not an exact representation of any particular investment as you cannot invest directly in an index.

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Definitions of these attributes are available by hovering over the label. As of: Month. All of these attributes can be downloaded by using the Export all distributions button. In addition, a negative alpha can sometimes result from the expenses that are present in a portfolio's returns, but not in the returns of the comparison index. While ETFs are designed to be as diversified as the original indexes they seek to track and can provide greater diversification than an individual investor may achieve independently, any given ETF may not be a diversified investment. VUN 0. Distribution history This table displays the distribution data for the Fund: Type income or capital gains , Ex-dividend date, Record date, Payable date, Cash distribution per unit, Reinvested distribution per unit, and Total distribution per unit. You may be interested in info This list is generated from recent searches, followed securities, and other activity. In doing so, investors may incur brokerage commissions and may pay more than NAV when buying and receive less than NAV when selling. Vanguard funds are managed by Vanguard Investments Canada Inc. The MER would have been 0. The final column of the table displays the weight, or percentage difference between the Fund and Benchmark, when applicable. Eligible dividends, Non-eligible dividends, Other income, Capital gains, Return of capital, Foreign income, Foreign tax paid, and Total distribution per unit are displayed for each year since the fund's inception. This table shows the percentage of the Fund's and Benchmark's assets invested by sector.

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Learn more. Export table. Investor's Business Daily. Google is not an investment adviser nor is it a financial adviser and expresses no view, recommendation or opinion with respect to any of the companies included in this list or any securities issued by those companies. The indicated rates of return are the historical annual compounded total returns including changes in unit value and reinvestment of all dividends or distributions and do not take into account sales, redemption, distribution or optional charges or income taxes payable by any unitholder that would have reduced returns. If a portfolio's return bore no relationship to the market's returns, its R-squared would be 0. The table below the chart contains the percentage by Fund and Benchmark and indicates the variance between the two. Income distribution per unit. R-Squared A measure of how much of a portfolio's performance can be explained by the returns from the overall market or a benchmark index. You may be interested in info This list is generated from recent searches, followed securities, and other activity. VCN 0. Help Send feedback Privacy Terms Disclaimer. Standard Deviation and Sharpe Ratio are displayed for the Benchmark. VEQT 0.

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