How Oath et nos partenaires vous offrent une meilleure publicité
To provide you with a better overall user experience, we want to provide relevant ads that are more useful to you. For example, if you search for a particular movie, we will use your search data and location to display cinemas near you. We also use this information to show you advertisements for similar movies that you might like.
That they believe may be of interest to you. Comme pour le serment, nos partenaires peuvent aussi vous montrer des publicités qu'ils croient susceptibles de vous intéresser. Learn more about how Math collects and uses information and use information and how our partners collect and use information. Select "OK" to allow and our partners to use your information, or "Manage Options" to view our partners and your choices.
Tip : Connectez-vous pour enregistrer votre sélection afin de ne pas avoir à le faire sur tous les appareils individuellement. You can update your settings at any time in the Privacy Center.
Analyses, Offers, Participations, Offers, Rankings
This index chooses equities on the basis of six different performance drivers. It is very attractive to institutional clients and has a large, solid wealth basis with high levels of solvency. The cost rate - among the lower in the sector - makes it the first option for long-term shareholders. VUG's CRSP index (to which it was converted in 2013) chooses shares according to six different criteria: anticipated long-term EPS increase, anticipated short-term EPS increase, anticipated short-term EPS increase, anticipated short-term EPS increase, historic three-year EPS increase, historic three-year EPS increase, historic three-year EPS increase, historic three-year EPS increase, ratio of investments to net worth and ROI.
It has many of the same name as our top holding benchmarks, but is less focused as it dives into the mid-cap segment. Make sure that the mutual funds do not duplicate other mid caps in your portfolios. Return on investment of the ESG Trust Foundation is the result of a comparison of the performance of a fund's ESG Quality Score with that of other investment companies within the same group, as determined by Thomson Reuters Lipper Global Classification.
The VUG is ranked within the 58th percentage within its peer group and the 44th percentage within the worldwide fund universe within the MSCI ESG Fund Metrics cover.