|Expense Ratio (net)||0.03%|
|Last Cap Gain||56.00|
|Morningstar Risk Rating||Above Average|
|Beta (5Y Monthly)||1.03|
|5y Average Return||N/A|
|Average for Category||N/A|
|Inception Date||May 24, 2001|
The 60/40 portfolio, one of the most standard allocation mixes for long-term investors, is on pace for its worst year since 1936, data from Bank of America showed.
Todd Rosenbluth, head of research at VettaFi, joins Yahoo Finance Live to break down the latest in the ETF space, including why bond ETFs saw inflows in May.