VWENX Fund Portfolio Allocation
General Overview
The investment seeks to provide long-term capital appreciation and moderate current income. The fund invests 60% to 70% of its assets in dividend-paying and, to a lesser extent, non-dividend-paying common stocks of established large companies. The remaining 30% to 40% of the fund's assets are invested mainly in fixed income securities that the advisor believes will generate a moderate level of current income. These securities include investment-grade corporate bonds, with some exposure to U.S. Treasury and government agency bonds, and mortgage-backed securities.
| Sector & Industry | Financial Services / Asset Management |
| IPO date | May 14, 2001 |
VWENX Latest News
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| Other Identifiers | |
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| CIK | 0000105563 |
| ISIN | US9219352013 |
| CUSIP | 921935201 |
| Open | 77.3 |
| Previous Close | 77.65 |
| Volume | 0 |
| Average Volume | 0 |
| Day’s Range | 77.3 – 77.3 |
| 52 Week Range | 67.01-85.06 |
| MA (50) | 80.4654 |
| MA (200) | 79.4076 |
| Market Cap | 120.4 Bil. |
| Shares Out. | 1.56 Bil. |
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