Previous close | 327.10 |
Open | 324.21 |
Bid | 317.17 x 1000 |
Ask | 317.16 x 1000 |
Day's range | 317.10 - 324.39 |
52-week range | 312.53 - 369.50 |
Volume | |
Avg. volume | 6,096,160 |
Net assets | 28.42B |
NAV | 322.23 |
PE ratio (TTM) | 3.35 |
Yield | 1.75% |
YTD daily total return | -12.15% |
Beta (5Y monthly) | 0.95 |
Expense ratio (net) | 0.16% |
Inception date | 1998-01-13 |
In order for me to feel more confident about a sustained, new uptrend, and increase my exposure to equities, I need to see five things happen.
Since the beginning of the year, business news has been riddled with stories about historic market volatility, decades-high inflation rates, and an increasingly hawkish Federal Reserve. Amid this backdrop, a bullish story has been emerging.
We saw a nice drop to 238K new jobless claims from the 245K expected, and a healthy step lower than the upwardly revised 261K.