ETF Performance by Category

Last update: 30-Apr-2013
Category 1-MO Return 3-MO Return 6-MO Return YTD Return 1-YR Return 3-YR Return 5-YR Return
Health 3.38% 10.04% 20.89% 17.9% 26.16% 17.8% 13.29%
Consumer Cyclical 3.32% 7.69% 19.3% 14.15% 22.08% 16.83% 11.05%
Consumer Defensive 2.43% 9.94% 18.07% 15.51% 21.19% 16.68% 10.79%
Emerging Markets Bond 2.03% 1.76% 4.03% 1.94% 9.23% 10.78% 9.84%
Long Government 3.57% 4.79% 1.02% 1.56% 6.56% 13.2% 9.21%
Commodities Precious Metals -9.04% -14.17% -13.99% -11.5% -12.71% 4.7% 8.63%
Small Growth -0.85% 4.52% 14.87% 10.96% 14.38% 13.53% 8.28%
Mid-Cap Value 0.98% 7.27% 19.57% 15.11% 21.33% 13.42% 7.93%
Small Blend -0.13% 5.76% 17.04% 12.26% 17.64% 11.26% 7.71%
Mid-Cap Blend 0.63% 6.9% 18.72% 14.14% 18.74% 13.15% 7.61%
Small Value -0.23% 5.7% 18.19% 12.28% 20.41% 10.28% 7.33%
Large Growth 1.79% 6.72% 14.5% 11.81% 13.02% 13.13% 7.15%
High Yield Bond 1.53% 2.85% 5.45% 3.77% 11.22% 9.77% 6.78%
Long-Term Bond 2.34% 3.4% 2.4% 2.56% 9.3% 10.88% 6.56%
Inflation-Protected Bond 0.45% 0.6% 0.19% 0.17% 3.39% 8.07% 6.41%
Muni National Interm 0.97% 0.89% 1.2% 1.15% 3.47% 5.01% 6.33%
Muni California Long 1.24% 0.87% 1.88% 1.4% 5.93% 6.77% 6.17%
Mid-Cap Growth 0.82% 6.3% 16.97% 13.15% 13.99% 12.72% 5.91%
Communications 5.81% 6.72% 12.63% 10.44% 18.73% 12.92% 5.9%
Intermediate-Term Bond 0.99% 1.71% 1.38% 1.27% 5.41% 5.81% 5.89%
Muni National Long 1.5% 0.84% 1.67% 1.39% 5.98% 6.67% 5.86%
Large Value 2.26% 8.32% 15.75% 14.79% 20.42% 13.82% 5.83%
Technology 0.52% 3.34% 14.81% 8.59% 4.66% 8.21% 5.82%
Real Estate 5.6% 10.78% 18.73% 16.07% 22.11% 16.46% 5.51%
Muni New York Long 1.25% 0.79% 1.29% 1.29% 5.14% 5.99% 5.46%
Large Blend 1.74% 6.54% 14.37% 12.6% 16.32% 12.21% 5.38%
Intermediate Government 0.61% 1.26% 0.81% 0.67% 2.13% 4.6% 4.53%
Industrials -0.45% 5.13% 17.24% 10.87% 17.75% 10.21% 4.14%
Moderate Allocation 1.67% 3.5% 8.06% 6.49% 9.36% 8.48% 4.14%
World Bond 2.32% 0.87% 3.06% 1.2% 6.76% 4.44% 3.82%
Short-Term Bond 0.26% 0.49% 0.77% 0.62% 2.44% 2.97% 3.45%
Target Date 2016-2020 1.56% 3.77% 8.82% 6.68% 10.4% 8.04% 3.42%
Foreign Small/Mid Value 3.47% 6.6% 18.61% 11.0% 18.09% 8.8% 3.29%
Utilities 6.23% 9.7% 11.96% 13.48% 16.31% 10.82% 3.28%
Target Date 2036-2040 2.29% 5.53% 13.35% 10.09% 15.77% 10.63% 3.23%
Conservative Allocation 1.37% 2.76% 4.91% 4.32% 8.1% 5.55% 3.07%
Pacific/Asia ex-Japan Stk 2.44% 1.84% 10.1% 4.29% 11.58% 6.25% 2.78%
Muni National Short 0.1% 0.26% 0.31% 0.41% 0.83% 1.89% 2.56%
Japan Stock 8.54% 18.41% 32.68% 23.52% 24.21% 7.34% 1.81%
Trading-Leveraged Equity 2.98% 10.09% 31.27% 23.37% 27.68% 14.17% 1.36%
Global Real Estate 7.41% 9.56% 18.58% 12.29% 30.35% 14.99% 1.34%
Foreign Small/Mid Blend 3.54% 5.21% 15.66% 9.94% 16.24% 8.01% 1.31%
Short Government 0.1% 0.2% 0.28% 0.18% 0.44% 0.84% 1.09%
Foreign Small/Mid Growth 3.49% 7.7% 13.33% 7.7% 8.16% -5.88% 1.05%
Long/Short Equity 0.54% 2.86% 6.59% 5.02% 3.15% 7.52% 0.83%
World Stock 3.18% 4.64% 13.17% 9.45% 15.61% 8.11% 0.79%
Diversified Pacific/Asia 5.86% 9.61% 20.24% 13.41% 20.09% 6.93% 0.53%
Ultrashort Bond 0.11% 0.29% 0.6% 0.42% 1.4% 0.73% 0.43%
Foreign Large Growth 4.0% 5.41% 16.18% 10.56% 15.34% 8.25% -0.41%
China Region 1.23% -4.81% 7.4% -0.57% 5.57% -0.69% -0.45%
Foreign Large Blend 4.04% 4.11% 14.74% 8.55% 16.57% 6.5% -0.58%
Multicurrency 0.49% -0.67% -0.51% -0.65% -0.63% 0.48% -0.59%
Foreign Large Value 4.44% 3.43% 13.23% 8.25% 15.79% 6.57% -0.89%
Diversified Emerging Mkts 0.96% -2.03% 6.18% -0.31% 3.74% 1.91% -0.9%
Natural Resources -3.49% -8.11% -0.59% -5.15% -3.46% 2.2% -1.21%
Financial 2.04% 6.04% 18.08% 13.5% 22.78% 6.05% -1.8%
Equity Energy -0.43% 1.75% 10.09% 9.98% 7.21% 7.03% -3.21%
Latin America Stock -0.56% -3.99% 3.97% -0.42% -1.53% -0.13% -3.21%
Commodities Agriculture 0.11% -5.55% -8.21% -4.39% -6.07% 5.36% -3.74%
Europe Stock 4.48% 1.04% 12.8% 6.29% 18.15% 5.63% -3.88%
India Equity 5.61% -6.92% 1.33% -4.17% 4.08% -4.7% -4.94%
Trading-Leveraged Commodities -11.02% -13.15% -17.44% -9.66% -18.33% -3.0% -6.32%
Equity Precious Metals -18.99% -28.81% -38.24% -32.86% -37.43% -14.93% -6.55%
Commodities Industrial Metals -5.82% -14.77% -6.34% -12.26% -15.37% -7.29% -7.92%
Commodities Broad Basket -3.62% -7.47% -5.19% -4.7% -8.02% 0.68% -8.24%
Trading-Inverse Commodities 7.47% 14.67% 8.78% 7.68% 2.48% -12.78% -8.32%
Miscellaneous Sector 3.78% 5.48% 17.86% 11.16% 13.72% -3.5% -8.52%
Commodities Energy -2.33% -0.08% 2.38% 3.34% -1.06% -7.05% -17.8%
Trading-Inverse Debt -4.23% -7.06% -4.4% -4.08% -12.56% -27.79% -21.89%
Trading-Inverse Equity -3.82% -9.44% -22.29% -16.85% -28.54% -31.34% -28.81%
Managed Futures 0.51% 1.22% 2.99% 2.24% -7.48% -10.69% N/A
Aggressive Allocation 1.25% 2.99% 7.52% 5.89% 8.76% 10.62% N/A
Bank Loan 0.73% 1.49% 4.03% 2.96% 7.84% N/A N/A
Bear Market -4.81% -2.24% -17.19% -7.15% -20.66% N/A N/A
Convertibles 1.63% 4.55% 11.01% 7.93% 14.71% 7.72% N/A
Multialternative 0.88% 2.06% 2.4% 2.8% 3.05% 2.19% N/A
High Yield Muni 1.01% 0.06% 2.05% 1.85% 9.94% 8.95% N/A
World Allocation 2.34% 1.57% 9.53% 4.32% N/A N/A N/A
Trading-Miscellaneous -2.14% -3.79% -3.0% -3.12% -7.92% 0.3% N/A
Market Neutral 0.45% 1.5% 2.78% 1.96% 3.59% 0.39% N/A
Target Date 2011-2015 1.6% 3.72% 8.31% 6.11% 9.99% 8.25% N/A
Target Date 2021-2025 1.92% 4.51% 10.8% 7.81% 12.18% 9.22% N/A
Trading-Leveraged Debt 5.64% 8.11% 5.38% 4.26% 15.88% 25.81% N/A
Volatility -6.89% -14.12% -26.27% -21.66% -29.14% -48.24% N/A