Cclxxvii no. 5 Wsj com Hhhh $ 0 djia 31802. 44 À 306. 14 0% nasdaq



Download 10,55 Mb.
Pdf ko'rish
bet119/137
Sana21.03.2022
Hajmi10,55 Mb.
#504874
1   ...   115   116   117   118   119   120   121   122   ...   137
Bog'liq
The Wall Street Journal - 09.03.2021

Mortgage-Backed
Bloomberg Barclays
2214.01
-0.8
Mortgage-Backed
1.660
0.930 2.690
2158.36
-0.9
Ginnie Mae (GNMA)
1.650
0.290 2.660
1308.54
-0.7
Fannie mae (FNMA)
1.670
1.110 2.690
2006.44
-0.8
Freddie Mac (FHLMC)
1.670
1.080 2.710
591.30
-0.7
Muni Master
1.003
0.725 3.441
417.56
-1.0
7-12 year
1.054
0.712 3.447
477.37
-1.0
12-22 year
1.457
1.095 3.690
465.00
-0.8
22-plus year
2.071
1.682 4.123
Global Government
J.P. Morgan†
595.82
-3.2
Global Government
0.920
0.390 0.940
829.73
-3.9
Canada
1.420
0.590 1.420
n.a.
n.a.
EMU§
n.a.
n.a. n.a.
769.64
-3.0
France
0.210
-0.160 0.430
538.24
-2.5
Germany
-0.180
-0.740 -0.120
293.19
-0.7
Japan
0.360
0.040 0.420
599.99
-2.9
Netherlands
-0.070
-0.540 0.080
1025.97
-6.3
U.K.
1.060
0.390 1.140
883.14
-5.4
Emerging Markets **
5.068
4.295 7.480
Key Interest Rates
Data are annualized on a 360-day basis. Treasury yields are per annum,
on actively traded noninflation and inflation-indexed issues that are
adjusted to constant maturities. Data are from weekly Federal Reserve
release H.15.
Week Ended
52-Week
Mar 5 Feb 26
High
Low
Federal funds
(effective)
0.07
0.07
1.51
0.04
Commercial paper
Nonfinancial
1-month
0.06
0.06
1.60
0.06
2-month
0.06
0.07
1.56
0.06
3-month
0.07
0.07
1.84
0.07
Financial
1-month
0.08
0.08
2.15
0.08
2-month
n.a.
n.a.
2.27
0.08
3-month
0.12
0.13
2.44
0.09
Discount window primary credit
0.25
0.25
1.75
0.25
Treasury yields at constant
maturities
1-month
0.04
0.03
1.05
0.01
3-month
0.04
0.04
0.77
0.01
Week Ended
52-Week
Mar 5 Feb 26
High
Low
6-month
0.07
0.05
0.68
0.05
1-year
0.08
0.08
0.62
0.07
2-year
0.14
0.13
0.66
0.11
3-year
0.29
0.26
0.68
0.13
5-year
0.73
0.68
0.73
0.21
7-year
1.16
1.08
1.16
0.39
10-year
1.49
1.42
1.49
0.55
20-year
2.14
2.09
2.14
0.99
Treasury yields
(secondary market)
1-month
0.04
0.03
1.04
0.00
3-month
0.04
0.04
0.76
-0.01
6-month
0.07
0.05
0.67
0.05
TIPS
5-year
-1.69
-1.69
0.41
-1.84
7-year
-1.18
-1.21
0.35
-1.44
10-year
-0.71
-0.74
0.35
-1.05
20-year
-0.15
-0.14
0.47
-0.70
Long-term avg
-0.03
-0.07
0.62
-0.50
Notes on data:
Federal-funds rate
is an average for the seven days ended Wednesday, weighted according to rates
on broker trades;
Commercial paper rates
are discounted offer rates interpolated from sales by
discounted averages of dealer bid rates on nationally traded certificates of deposit;
Discount window
primary credit rate
is charged for discounts made and advances extended under the Federal
Reserve's primary credit discount window program;
rate
is average for seven days ended Wednesday;
Inflation-indexed long-term TIPS
average is indexed and is based on the unweighted average bid
yields for all TIPS with remaining terms to maturity of 10 years or more;
Sources: Federal Reserve; for additional information on these rate data and their derivation,
please see, www.federalreserve.gov/releases/h15/data.htm
COMMODITIES
wsj.com/market-data/commodities
.


THE WALL STREET JOURNAL.
Tuesday, March 9, 2021 |
B9
Be the first to know what’s next for
AI, activism, wellness, remote work,
the American dream and
so much more.
Complimentary ticket for WSJ members.
Sign up now to reserve your spot.
Register now: WSJ.COM/RSVP
May 11–13, 2021 / Online
SUPPORTING SPONSOR
© 2021 Dow Jones & Co., Inc. All Rights Reserved. 6DJ8327
.


B10
| Tuesday, March 9, 2021
*
THE WALL STREET JOURNAL.
Net
YTD
Fund
NAV Chg %Ret
American Century Inv
Ultra
72.67 -1.57 -4.3
American Funds Cl A
AmcpA p
39.62 -0.47 1.3
AMutlA p
46.51 +0.22 4.3
BalA p
30.52 -0.13 1.1
BondA p
13.36 -0.04 -2.9
CapIBA p
64.65 -0.15 2.6
CapWGrA
60.16 -0.71 1.3
EupacA p
67.73 -1.47 -2.3
FdInvA p
70.70 -0.67 2.2
GwthA p
66.20 -1.18 -2.0
HI TrA p
10.24 -0.01 1.9
ICAA p
45.89 -0.25 3.3
IncoA p
24.40 +0.01 3.6
N PerA p
59.33 -1.03 -1.9
NEcoA p
57.94 -1.41 -2.6
NwWrldA
86.45 -2.54 -1.7
SmCpA p
79.37 -1.47 -0.2
TxExA p
13.52 +0.01 -0.4
WshA p
52.73 -0.01 5.1
Net
YTD
Fund
NAV Chg %Ret
Baird Funds
AggBdInst
11.37 -0.04 -3.1
CorBdInst
11.74 -0.04 -2.9
BlackRock Funds
HiYBlk
7.76 -0.02 0.4
HiYldBd Inst
7.75 -0.02 0.4
BlackRock Funds A
GlblAlloc p
21.62
... 0.4
BlackRock Funds Inst
StratIncOpptyIns
10.33 -0.02 0.1
Bridge Builder Trust
CoreBond
10.42 -0.04 -3.1
CorePlusBond
10.28 -0.04 -2.7
Intl Eq
13.61 -0.12 1.9
LargeCapGrowth
20.30 -0.25 -1.3
LargeCapValue
16.01 +0.15 8.8
Columbia Class I
DivIncom I
26.86 +0.03 4.1
Dimensional Fds
5GlbFxdInc
10.89
...
...
EmgMktVa
30.23 -0.58 5.5
Net
YTD
Fund
NAV Chg %Ret
EmMktCorEq
24.97 -0.68 2.9
IntlCoreEq
15.10 -0.06 3.6
IntSmCo
20.96 -0.09 3.4
IntSmVa
20.37 +0.02 6.5
TAUSCoreEq2
24.53 +0.04 6.7
US CoreEq1
31.39
... 5.8
US CoreEq2
28.95 +0.06 7.3
US Small
45.30 +0.67 17.9
US SmCpVal
43.68 +0.94 26.9
US TgdVal
29.48 +0.60 25.0
USLgVa
42.39 +0.41 12.9
Dodge & Cox
Balanced
111.11 +0.18 9.2
Income
14.29 -0.05 -2.5
Intl Stk
46.63 -0.18 6.7
Stock
220.41 +0.65 14.5
DoubleLine Funds
CoreFxdIncmI
NA
... NA
TotRetBdI
10.52 -0.02 -1.2
Edgewood Growth Instituti
EdgewoodGrInst
49.93 -1.42 -3.6
Monday, March 8, 2021
Mutual Funds
Net
YTD
Fund
NAV Chg %Ret
Net
YTD
Fund
NAV Chg %Ret
Net
YTD
Fund
NAV Chg %Ret
Net
YTD
Fund
NAV Chg %Ret
Net
YTD
Fund
NAV Chg %Ret
Net
YTD
Fund
NAV Chg %Ret
Net
YTD
Fund
NAV Chg %Ret
Top 250 mutual-funds listings for Nasdaq-published share classes by net assets.
e
-Ex-distribution.
f
-Previous day’s quotation.
g
-Footnotes x and s apply.
j
-Footnotes e
and s apply.
k
-Recalculated by Lipper, using updated data.
p
-Distribution costs apply,
12b-1.
r
-Redemption charge may apply.
s
-Stock split or dividend.
t
-Footnotes p and r
apply.
v
-Footnotes x and e apply.
x
-Ex-dividend.
z
-Footnote x, e and s apply.
NA
-Not
available due to incomplete price, performance or cost data.
NE
-Not released by Lipper;
data under review.
NN
-Fund not tracked.
NS
-Fund didn’t exist at start of period.
Fidelity
500IdxInstPrem
132.81 -0.71 2.0
Contrafund K6
18.36 -0.32 -2.8
ExtMktIdxInstPre
87.90 -0.50 5.3
FidSerToMarket
13.24 -0.07 2.6
IntlIdxInstPrem
46.22 -0.19 1.3
MidCpInxInstPrem
28.38 -0.01 5.1
SAIUSLgCpIndxFd
20.03 -0.11 2.0
SeriesBondFd
10.39 -0.04 -3.3
SeriesOverseas
12.21 -0.08 -1.5
SmCpIdxInstPrem
27.91 +0.14 11.7
TMktIdxInstPrem
110.52 -0.60 2.6
USBdIdxInstPrem
11.99 -0.04 -3.4
Fidelity Advisor I
NwInsghtI
36.09 -0.68 -2.0
Fidelity Freedom
FF2020
17.31 -0.11 0.9
FF2025
15.63 -0.11 1.2
FF2030
19.59 -0.15 1.6
FF2035
17.00 -0.14 2.6
FF2040
12.14 -0.10 3.3
Freedom2025 K
15.61 -0.11 1.2
Freedom2030 K
19.57 -0.15 1.6
Freedom2035 K
16.98 -0.13 2.6
Freedom2040 K
12.13 -0.10 3.2
Fidelity Invest
Balanc
28.76 -0.16 1.7
BluCh
159.73 -4.38 -2.1
Contra
16.03 -0.28 -2.2
ContraK
16.06 -0.28 -2.3
CpInc r
10.97 -0.04 2.9
GroCo
31.89 -0.89 -3.0
GrowCoK
31.98 -0.89 -3.0
InvGrBd
11.55 -0.04 -2.7
LowP r
53.61 +0.54 10.2
Magin
12.44 -0.18 -4.7
NASDAQ r
158.41 -3.91 -2.1
OTC
17.32 -0.48 -1.1
Puritn
26.58 -0.19 2.2
SrsEmrgMkt
25.22 -0.88 1.0
SrsGlobal
14.57 -0.18 1.6
SrsGroCoRetail
22.18 -0.60 -2.6
SrsIntlGrw
17.23 -0.20 -3.1
SrsIntlVal
10.67 +0.02 5.7
TotalBond
10.97 -0.04 -2.7
Fidelity SAI
TotalBd
10.43 -0.04 -2.6
Fidelity Selects
Softwr r
26.46 -0.41 -2.4
Tech r
26.02 -0.81 -3.2
First Eagle Funds
GlbA
62.75 +0.05 2.4
Franklin A1
CA TF A1 p
7.68 -0.01 -1.3
IncomeA1 p
2.39 +0.01 5.2
FrankTemp/Frank Adv
IncomeAdv
2.37 +0.01 5.3
FrankTemp/Franklin A
Growth A p
131.72 -1.99 -2.7
RisDv A p
79.86 +0.16 -0.4
Guggenheim Funds Tru
TotRtnBdFdClInst
28.52 -0.12 -3.5
Harbor Funds
CapApInst
96.06 -2.99 -7.8
Harding Loevner
IntlEq
NA
... NA
Invesco Funds Y
DevMktY
54.07 -1.34 1.1
JPMorgan I Class
CoreBond
NA
... NA
EqInc
NA
... NA
JPMorgan R Class
CoreBond
NA
... NA
Lord Abbett A
ShtDurIncmA p
NA
... NA
Lord Abbett F
ShtDurIncm
NA
... NA
Metropolitan West
TotRetBdI
10.85 -0.03 -2.7
TRBdPlan
10.17 -0.03 -2.8
MFS Funds Class I
Growth I
154.25 -3.69 -4.6
ValueI
47.63 +0.30 5.6
MFS Funds Instl
IntlEq
30.40 -0.15 -0.8
Nuveen Cl I
HYMunBd
NA
... NA
Old Westbury Fds
LrgCpStr
NA
... NA
Parnassus Fds
ParnEqFd
54.55 -0.43 1.7
PGIM Funds Cl Z
HighYield
5.52 -0.01 1.0
TotalReturnBond
NA
... NA
PIMCO Fds Instl
AllAsset
NA
... NA
InvGrdCrBd
NA
... NA
ShortT
9.84 +0.01 0.2
TotRt
10.25 -0.03 -2.9
PIMCO Funds A
IncomeFd
NA
... NA
PIMCO Funds I2
Income
NA
... NA

Download 10,55 Mb.

Do'stlaringiz bilan baham:
1   ...   115   116   117   118   119   120   121   122   ...   137




Ma'lumotlar bazasi mualliflik huquqi bilan himoyalangan ©hozir.org 2024
ma'muriyatiga murojaat qiling

kiriting | ro'yxatdan o'tish
    Bosh sahifa
юртда тантана
Боғда битган
Бугун юртда
Эшитганлар жилманглар
Эшитмадим деманглар
битган бодомлар
Yangiariq tumani
qitish marakazi
Raqamli texnologiyalar
ilishida muhokamadan
tasdiqqa tavsiya
tavsiya etilgan
iqtisodiyot kafedrasi
steiermarkischen landesregierung
asarlaringizni yuboring
o'zingizning asarlaringizni
Iltimos faqat
faqat o'zingizning
steierm rkischen
landesregierung fachabteilung
rkischen landesregierung
hamshira loyihasi
loyihasi mavsum
faolyatining oqibatlari
asosiy adabiyotlar
fakulteti ahborot
ahborot havfsizligi
havfsizligi kafedrasi
fanidan bo’yicha
fakulteti iqtisodiyot
boshqaruv fakulteti
chiqarishda boshqaruv
ishlab chiqarishda
iqtisodiyot fakultet
multiservis tarmoqlari
fanidan asosiy
Uzbek fanidan
mavzulari potok
asosidagi multiservis
'aliyyil a'ziym
billahil 'aliyyil
illaa billahil
quvvata illaa
falah' deganida
Kompyuter savodxonligi
bo’yicha mustaqil
'alal falah'
Hayya 'alal
'alas soloh
Hayya 'alas
mavsum boyicha


yuklab olish