Nasdaq - Delayed Quote USD

Vanguard Growth & Income Inv (VQNPX)

60.07 +0.75 (+1.26%)
At close: 8:01 PM EDT

Performance Overview

Morningstar Return Rating --
YTD Return 8.65%
5y Average Return 13.53%
Number of Years Up 29
Number of Years Down 8
Best 1Y Total Return (Apr 23, 2024) 32.59%
Worst 1Y Total Return (Apr 23, 2024) --
Best 3Y Total Return 32.59%
Worst 3Y Total Return 8.00%

Trailing Returns (%) Vs. Benchmarks

Monthly Total Returns
VQNPX
Category
YTD
12.41%
14.84%
1-Month
3.39%
1.65%
3-Month
12.41%
7.55%
1-Year
31.63%
40.47%
3-Year
11.86%
16.77%
5-Year
15.10%
16.15%
10-Year
12.91%
13.21%
Last Bull Market
40.62%
24.09%
Last Bear Market
-15.79%
-17.61%

Annual Total Return (%) History

Year
VQNPX
Category
2024
--
--
2023
24.66%
--
2022
-17.20%
--
2021
28.98%
--
2020
17.94%
15.83%
2019
29.66%
28.78%
2018
-4.71%
-6.27%
2017
20.68%
20.44%

2016
11.97%
10.37%
2015
1.92%
-1.07%
2014
14.04%
10.96%
2013
32.59%
31.50%
2012
16.92%
14.96%
2011
2.42%
-1.27%
2010
14.62%
14.01%
2009
22.42%
28.17%
2008
-37.72%
-37.79%
2007
2.62%
6.16%
2006
14.01%
14.17%
2005
5.82%
5.88%
2004
11.11%
10.02%
2003
30.15%
27.05%
2002
-21.92%
-22.25%
2001
-11.13%
-13.50%
2000
-8.97%
-6.31%
1999
26.04%
20.16%
1998
23.94%
22.39%
1997
35.59%
28.37%
1996
23.06%
20.76%
1995
35.93%
32.35%
1994
-0.61%
-0.93%
1993
13.83%
10.21%
1992
7.01%
7.00%
1991
30.29%
30.90%
1990
-2.44%
-3.13%
1989
32.00%
25.43%
1988
16.80%
14.20%
1987
4.02%
3.78%

Past Quarterly Returns

YearQ1Q2Q3Q4
2024 12.41% -- -- --
2023 6.45% 8.49% -3.20% 11.50%
2022 -3.93% -15.79% -4.50% 7.17%
2021 6.91% 8.35% -0.05% 11.39%
2020 -20.39% 21.40% 8.52% 12.46%
2019 13.28% 3.68% 1.50% 8.77%
2018 -0.72% 3.58% 8.08% -14.26%
2017 5.26% 2.50% 4.85% 6.67%
2016 1.37% 2.39% 3.74% 4.00%
2015 1.51% -0.04% -5.79% 6.61%

2014 1.69% 5.31% 1.57% 4.83%
2013 10.52% 3.13% 5.08% 10.70%
2012 13.18% -2.63% 6.30% -0.19%
2011 6.19% 0.24% -14.14% 12.06%
2010 5.77% -11.31% 10.25% 10.81%
2009 -12.03% 14.49% 15.10% 5.61%
2008 -9.12% -1.79% -8.82% -23.47%
2007 2.01% 3.78% 2.82% -5.73%
2006 3.73% -2.01% 5.07% 6.75%
2005 -1.21% 1.16% 3.03% 2.77%
2004 2.18% 1.34% -1.53% 8.97%
2003 -2.99% 14.96% 3.36% 12.90%
2002 -0.07% -12.14% -16.04% 5.91%
2001 -12.51% 7.49% -15.00% 11.18%
2000 0.92% -2.91% 1.62% -8.58%
1999 4.58% 8.63% -4.97% 16.75%
1998 13.75% 3.83% -13.01% 20.63%
1997 1.82% 16.88% 12.00% 1.73%
1996 5.90% 3.47% 2.81% 9.24%
1995 9.19% 9.42% 8.89% 4.48%
1994 -4.13% -0.67% 4.49% -0.12%
1993 6.20% 1.75% 3.61% 1.67%
1992 -2.51% 0.25% 2.51% 6.81%
1991 14.37% -0.99% 5.61% 8.95%
1990 -2.55% 5.44% -13.63% 9.92%
1989 7.40% 8.57% 10.83% 2.14%
1988 6.55% 7.07% 0.10% 2.28%
1987 21.39% 4.18% 6.26% -22.59%

Rank in Category (By Total Return)

YTD 12
1-Month 42
3-Month 12
1-Year 18
3-Year 17
5-Year 19

Load Adjusted Returns

1-Year 31.63%
3-Year 11.86%
5-Year 15.10%
10-Year 12.91%

Performance & Risk

YTD Return 8.65%
5y Average Return 13.53%
Rank in Category (ytd) 12
% Rank in Category (ytd) --
Beta (5Y Monthly) 0.99
Morningstar Risk Rating

Fund Overview

Category Large Blend
Fund Family Vanguard
Net Assets 14.8B
YTD Return 12.41%
Yield 1.00%
Morningstar Rating
Inception Date May 14, 2001

Fund Summary

The fund invests at least 65% (and typically more than 90%) of its assets in stocks that are included in the index. Most of the stocks held by the fund provide dividend income as well as the potential for capital appreciation. The advisors use quantitative approaches to select a broadly diversified group of stocks that, as a whole, have investment characteristics similar to those of the S&P 500 Index, but are expected to provide a higher total return than that of the index.

Related Tickers