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Current archive: November 21, 2011
Volatility Takes Its Toll on Long-Term Investing
Written on:November 21, 2011
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Average Annual Total Returns (as of 10-31-2011) YTD Returns at NAV 1 Year 3 Years 5 Years 10 Years 15 Years Standard & Poor’s 500 Composite Index N/A 8.07% 11.41% 0.25% 3.69% 5.77% DJIA N/A 10.34% 11.80% 2.53% 5.39% 7.04% NASDAQ N/A 7.06% 15.97% 2.55% 4.73% 5.39% MSCI All Country World Index ex- USA N/A −4.25% 13.43% 0.08% 8.05% 5.39% …
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Tags:financial education , fund expenses , investing
Tags:financial education , fund expenses , investing