Vanguard


Portfolios of Vanguard

Portfolio that invests in broad-market fixed income by tracking the Bloomberg Barclays indexes....   See more

Last 365 Days

2.97%

Last 90 Days

-1.07%

Risk level
(1-100)
16
Defensive

Portfolio that invests in broad-market fixed income by tracking the Bloomberg Barclays indexes....   Show more
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Equity portfolio that invests in broad-market global equities (20%) and fixed income (80%) by aiming to track the Standard & Poor's (S&P) be...   See more

Last 365 Days

4.22%

Last 90 Days

0.24%

Risk level
(1-100)
26
Conservative

Equity portfolio that invests in broad-market global equities (20%) and fixed income (80%) by aiming to track the Standard & Poor's (S&P) be...   Show more
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Equity portfolio that invests in broad-market global equities (40%) and fixed income (60%) by aiming to track the Standard & Poor's (S&P) be...   See more

Last 365 Days

5.61%

Last 90 Days

1.96%

Risk level
(1-100)
37
Moderate

Equity portfolio that invests in broad-market global equities (40%) and fixed income (60%) by aiming to track the Standard & Poor's (S&P) be...   Show more
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Equity portfolio that invests in broad-market global equities (60%) and fixed income (40%) by aiming to track the Standard & Poor's (S&P) be...   See more

Last 365 Days

6.81%

Last 90 Days

3.42%

Risk level
(1-100)
47
Entrepreneur

Equity portfolio that invests in broad-market global equities (60%) and fixed income (40%) by aiming to track the Standard & Poor's (S&P) be...   Show more
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Equity portfolio that invests in broad-market global equities by tracking the Standard and Poor’s (S&P) benchmarks and FTSE indexes....   See more

Last 365 Days

9.63%

Last 90 Days

6.65%

Risk level
(1-100)
68
Growth

Equity portfolio that invests in broad-market global equities by tracking the Standard and Poor’s (S&P) benchmarks and FTSE indexes....   Show more
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Portafolio de renta variable que invierte en valores de renta variable globales de amplio mercado (80%) y en renta fija (20%) con el objetiv...   See more

Last 365 Days

8.26%

Last 90 Days

5.08%

Risk level
(1-100)
58
Growth

Portafolio de renta variable que invierte en valores de renta variable globales de amplio mercado (80%) y en renta fija (20%) con el objetiv...   Show more
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Your account is protected up to $500,000 USD, including $250,000 USD for claims for cash, only in the event of the broker or custodian insolvency and liquidation*.

Returns are not guaranteed. All investments are subject to the risk of loss, including the loss of principal. No representation is being made that an account has, will, or is likely to achieve profits or losses. Actual returns will vary greatly and depend on personal and market conditions. Before investing, consider your financial goals and the costs of using the platform.

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Returns for the last 365 days calculated from 24/Oct/2019 to 23/Oct/2020 and the last 90 days from 24/Jul/2020 to 23/Oct/2020.