VT outperforms 68 funds in its category for 3 Year Return, which is higher than the category median.
VT has a higher risk than 68 other funds in its category, but its risk/return ratio is still lower than the category median.
You hold VT in 0 portfolios
4:00pm EDT
VT outperforms 68 funds in its category for 3 Year Return, which is higher than the category median.
VT has a higher risk than 68 other funds in its category, but its risk/return ratio is still lower than the category median.

| Fund or Index | 3Yr Annualized Standard Deviation | Sharpe Ratio |
| ||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|
| VT | 4.998 | 0.528 | -0.46 | 1.12 | 0.92 | ||||||
| Lipper GL Multi-Cp Cr IX Lipper Classification Index | 4.378 | 0.666 | -0.211 | 1.137 | 0.992 | ||||||
| MSCI EAFE ND IX Broad-Based Index | 5.576 | 0.344 | 0.292 | 0.868 | 0.951 | ||||||
FJSCX's YTD and 3 year Returns outperformed VT
JFNIX's YTD and 3 year Returns outperformed VT
IXJ's YTD and 3 year Returns outperformed VT