Previous close | 425.84 |
Open | 426.41 |
Bid | 423.39 x 900 |
Ask | 423.47 x 900 |
Day's range | 422.83 - 428.24 |
52-week range | 309.89 - 449.34 |
Volume | |
Avg. volume | 45,069,782 |
Net assets | 259.27B |
NAV | 425.76 |
PE ratio (TTM) | 34.53 |
Yield | 0.59% |
YTD daily total return | 4.13% |
Beta (5Y monthly) | 1.18 |
Expense ratio (net) | 0.20% |
Inception date | 1999-03-10 |
Research from BMO Capital Markets shows stocks have actually performed better under higher interest rate regimes over the past three decades.
Thirty-six percent of respondents to Bank of America's Global Fund Manager's Survey said they believe the most likely outcome for the global economy is a "no landing," up from 23% a month ago.
After a strong first quarter, a confluence of issues, including sticky inflation, scaled-back rate cut expectations, and conflict in the Middle East, are giving investors pause in April.