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William Blair Low Duration N (WBLNX)

9.42 Up 0.01(0.11%) Sep 19

Risk as of Aug 30, 2014Get Risk for:
Risk Overview 
Morningstar Risk Rating:5
Number of Years Up3
Number of Years Down1
Best 1 Yr Total Return(Dec 30, 2012):2.82%
Worst 1 Yr Total Return(Dec 30, 2013):-0.62%
Risk (Modern Portfolio Theory) Statistics 
3 Years
StatisticWBLNXCategory
Alpha (against Standard Index)0.030.79
Beta (against Standard Index)0.320.07
Mean Annual Return0.090.09
R-squared (against Standard Index)56.1713.29
Standard Deviation1.140.63
Sharpe Ratio0.841.28
Treynor Ratio2.9522.70
5 Years
StatisticWBLNXCategory
Alpha (against Standard Index)N/A1.04
Beta (against Standard Index)N/A0.06
Mean Annual ReturnN/A0.12
R-squared (against Standard Index)N/A11.47
Standard DeviationN/A0.83
Sharpe RatioN/A1.28
Treynor RatioN/A14.56
10 Years
StatisticWBLNXCategory
Alpha (against Standard Index)N/A0.15
Beta (against Standard Index)N/A0.09
Mean Annual ReturnN/A0.17
R-squared (against Standard Index)N/A10.65
Standard DeviationN/A1.56
Sharpe RatioN/A0.36
Treynor RatioN/A3.73