Is Vanguard Mid-Cap Index Investor (VIMSX) a Strong Mutual Fund Pick Right Now?

 

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RNGR shares have started gaining and might continue moving higher in the near term, as indicated by solid earnings estimate revisions.

VIMSX - Profile

There's an advantage in working with a Edward Jones advisor who knows you – and your.

He has been with Vanguard since ; has worked in investment management since ; and has managed investment portfolios since This is a special edition of the scorecard that looks at the performance of most prominent mutual Low Volatility ETFs invest in securities with low volatility characteristics. These funds tend to have relatively stable share prices, and higher than average yields. Investors who suspect that the stock market may be about to decline can take action to reduce the Thank you for selecting your broker.

Please help us personalize your experience. Your personalized experience is almost ready. Check your email and confirm your subscription to complete your personalized experience. Thank you for your submission, we hope you enjoy your experience. Have you been searching for an Index fund? While this fund is not tracked by the Zacks Mutual Fund Rank, we were able to examine other factors like performance, volatility, and cost. The fund is currently managed by Donald M.

Butler who has been in charge of the fund since May of Of course, investors look for strong performance in funds. VIMSX has a 5-year annualized total return of If you're interested in shorter time frames, do not dismiss looking at the fund's 3-year annualized total return of When looking at a fund's performance, it is also important to note the standard deviation of the returns. The lower the standard deviation, the less volatility the fund experiences. Looking at the past 5 years, the fund's standard deviation is 9.

This makes the fund more volatile than its peers over the past half-decade. It's always important to be aware of the downsides to any future investment, so one should not discount the risks that come with this segment.

This could mean that the fund is a better choice than comparable funds during a bear market. Even still, the fund has a 5-year beta of 0. Over the past 5 years, the fund has a negative alpha of This means that managers in this portfolio find it difficult to pick securities that generate better-than-benchmark returns. Costs are increasingly important for mutual fund investing, and particularly as competition heats up in this market.

And all things being equal, a lower cost product will outperform its otherwise identical counterpart, so taking a closer look at these metrics is key for investors. It has an expense ratio of 0. Don't stop here for your research on Index funds.