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Unit Price as of | $ | |
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Inception Date |
* Thirty day advertised yield net of expenses calculated daily.
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Brand: arkansas
Fund ID: 1007001
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Investment Objective
The Portfolio seeks to provide capital appreciation
Investment Strategy
The Portfolio invests in two Vanguard stock index funds. The percentages of the Portfolio's assets allocated to each Underlying Investments are:
Vanguard Total Stock Market Index Fund 60%
Vanguard Total International Stock Index Fund 40%
Through its ownership of the two stock funds, the Portfolio indirectly owns primarily large-capitalization U.S. stocks and, to a lesser extent, mid- and small-capitalization U.S. stocks and international stocks.
Investment Risks
Because it invests entirely in stocks, the Portfolio primarily is subject to stock market risk. The Portfolio also has a low level of foreign securities risk, index sampling risk, and derivatives risk.
Average Annual Returns
Updated Monthly as of
Name | 1 year | 3 year | 5 year | 10 year | Since Inception |
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**Consists of the Spliced Total Stock Market Index (60%) and the Spliced Total International Stock Index (40%). The CRSP US Total Market Index replaced the MSCI US Broad Market Index (on June 3, 2013), which had replaced the Dow Jones Wilshire 5000 Index (on April 22, 2005). The FTSE Global All Cap ex US Index replaced the MSCI ACWI ex USA IMI Index (on June 3, 2013), which had replaced the MSCI EAFE + Emerging Markets Index (on December 16, 2010).
Annual Investment Returns
Year Ended | Return Rate |
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Historical Prices
Date | Price |
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$ |
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Brand: arkansas
Fund ID: 1007001
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