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Vanguard CA Long-Term Tax-Exempt Inv (VCITX)

Nasdaq - Nasdaq Precio retrasado. Divisa en USD.
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11.35-0.03 (-0.26%)
Al cierre: 08:01PM EDT

Información general del desempeño

Índice de retornos de MorningstarN/D1
Retorno anual acumulado-0.73%
Retorno promedio a 5 años1.38%
Número de años al alza31
Número de años a la baja6
Mejor retorno total a 1 año (21 may 2024)13.21%
Peor retorno total en 1 año (21 may 2024)N/D
Mejor retorno total a 3 años13.21%
Peor retorno total en 3 años-1.11%

Últimos retornos (%) vs. índices de referencia

Los periodos superiores a 1 año se anualizan.
RetornoVCITXCategoría
AIF-1.37%1.88%
1 mes-1.20%0.44%
3 meses-1.28%2.15%
1 año3.14%5.80%
3 años-1.10%5.09%
5 años1.45%3.20%
10 años2.81%5.08%
Último mercado alcista10.37%7.56%
Último mercado bajista-4.84%8.23%

Historial del rendimiento total anual (%)

Año
VCITXCategoría
2024
N/DN/D
2023
7.51%N/D
2022
-10.07%N/D
2021
1.93%N/D
2020
5.51%4.59%
2019
8.56%8.09%
2018
0.67%0.62%
2017
6.81%5.91%
2016
0.06%0.07%
2015
4.36%3.72%
2014
11.80%12.07%
2013
-2.54%-3.71%
2012
8.92%10.42%
2011
11.49%11.74%
2010
1.70%1.77%
2009
13.21%17.38%
2008
-6.87%-11.05%
2007
1.57%0.71%
2006
5.24%4.58%
2005
3.77%3.93%
2004
4.19%4.37%
2003
4.92%4.27%
2002
9.44%8.03%
2001
3.36%3.84%
2000
15.18%12.79%
1999
-3.10%-4.60%
1998
6.63%5.96%
1997
8.92%8.53%
1996
4.96%4.35%
1995
18.58%18.10%
1994
-5.66%-5.97%
1993
12.94%11.91%
1992
9.25%8.62%
1991
11.02%10.72%
1990
6.96%6.47%
1989
10.46%9.59%
1988
12.12%11.31%
1987
-3.83%-1.66%
1986
N/D17.72%

Retornos del último trimestre (%)

AñoT1T2T3T4
2024-0.16%N/DN/DN/D
20233.01%0.05%-4.12%8.80%
2022-6.78%-4.84%-3.60%5.17%
2021-0.50%1.77%-0.37%1.04%
2020-0.45%2.62%1.27%1.99%
20193.01%2.66%2.10%0.54%
2018-1.50%1.09%-0.43%1.53%
20171.50%2.52%1.31%1.31%
20161.92%3.44%-0.63%-4.49%
20151.29%-1.17%2.08%2.13%
20144.46%3.02%2.11%1.74%
20130.68%-4.01%0.30%0.55%
20122.65%2.10%2.85%1.03%
2011-0.01%4.61%4.10%2.39%
20101.35%1.81%3.96%-5.18%
20093.63%2.21%9.17%-2.10%
2008-1.52%0.93%-3.59%-2.82%
20070.77%-0.89%1.07%0.62%
20060.34%-0.16%3.79%1.22%
2005-0.17%3.29%-0.25%0.89%
20041.33%-2.31%4.04%1.16%
20030.79%2.72%0.07%1.28%
20020.32%3.87%5.90%-0.82%
20011.30%-0.23%3.59%-1.28%
20004.37%1.89%3.20%4.95%
19990.94%-2.18%-0.89%-0.99%
19980.89%1.44%4.06%0.11%
1997-0.93%3.83%3.01%2.79%
1996-2.06%1.28%2.56%3.17%
19957.80%1.48%2.61%5.64%
1994-5.95%1.32%0.38%-1.36%
19934.37%3.45%3.49%1.08%
1992-0.12%4.41%2.21%2.50%
19911.37%1.78%4.27%3.20%
1990-0.42%2.78%-1.79%6.40%
19890.67%6.37%-0.71%3.89%
19882.77%2.37%2.79%3.68%
19871.64%-7.07%-4.92%7.08%
19864.75%4.93%N/DN/D

Rango en categoría (por retorno total)

AIF90
1 mes57
3 meses90
1 año38
3 años28
5 años25

Retornos ajustados por comisiones

1 año3.14%
3 años-1.10%
5 años1.45%
10 años2.81%