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4-Star ETFs

Funds whose risk-adjusted returns fall within the top 32.5% relative to category peers receive a 4-star rating.

Name
Ticker
Morningstar Category
Adjusted Expense Ratio %
Return Rank in Category 1Y %
Return Rank in Category 3Y %
Return Rank in Category 5Y %
Active or Passive
High Yield Bond
0.400%
Active
Commodities Broad Basket
0.300%
36%
38%
13%
Passive
Large Growth
1.170%
47%
41%
Active
Mid-Cap Blend
0.650%
2%
15%
10%
Active
Options Trading
0.740%
38%
Active
Moderate Allocation
0.910%
94%
50%
Active
Diversified Emerging Mkts
0.600%
7%
7%
11%
Passive
Foreign Large Value
0.500%
22%
37%
11%
Passive
Europe Stock
0.480%
22%
76%
35%
Passive
Large Value
0.480%
14%
86%
26%
Passive
Event Driven
1.250%
11%
34%
2%
Active
Muni National Interm
0.290%
64%
7%
Active
Corporate Bond
0.290%
3%
13%
31%
Active
Large Growth
0.290%
6%
4%
Passive
Options Trading
0.790%
33%
80%
Active
Diversified Emerging Mkts
0.330%
36%
17%
Active
Foreign Large Blend
0.230%
54%
12%
Active
Small Value
0.250%
38%
8%
Active
Energy Limited Partnership
0.950%
Passive
Foreign Large Blend
0.040%
50%
Passive
Large Value
0.490%
45%
30%
25%
Active
Diversified Emerging Mkts
0.640%
6%
10%
15%
Active
Foreign Small/Mid Value
0.590%
48%
23%
7%
Active
Global Allocation
0.420%
29%
37%
33%
Active
Tactical Allocation
0.500%
26%
30%
Active
Moderate Allocation
0.950%
Passive
Ultrashort Bond
0.200%
13%
67%
Active
Diversified Emerging Mkts
0.160%
59%
12%
14%
Passive
Large Value
0.350%
3%
6%
19%
Passive
Communications
0.100%
40%
32%
Passive
Consumer Cyclical
0.100%
84%
68%
45%
Passive
Large Blend
0.090%
55%
21%
33%
Active
Small Blend
0.260%
23%
21%
37%
Active
Small Value
0.280%
20%
26%
31%
Active
Large Growth
0.350%
7%
20%
23%
Passive
Large Blend
0.390%
5%
5%
Active
Large Blend
0.150%
10%
55%
11%
Active
Equity Energy
0.100%
1%
55%
1%
Passive
Small Blend
0.890%
81%
Active
Mid-Cap Growth
0.450%
41%
27%
23%
Passive
Large Blend
0.590%
15%
6%
52%
Active
Large Value
0.290%
74%
32%
21%
Passive
Large Value
0.290%
46%
15%
9%
Passive
Large Blend
0.290%
10%
76%
16%
Passive
Communications
0.084%
63%
44%
24%
Passive
Consumer Cyclical
0.084%
77%
40%
18%
Passive
Consumer Defensive
0.084%
68%
58%
22%
Passive
Equity Energy
0.084%
6%
45%
13%
Passive
Financial
0.084%
48%
47%
37%
Passive
Health
0.084%
38%
20%
19%
Passive
Industrials
0.084%
30%
36%
26%
Passive
Natural Resources
0.084%
45%
65%
38%
Passive
Small Blend
0.290%
29%
36%
Passive
Large Blend
0.290%
4%
18%
Passive
Intermediate Core-Plus Bond
0.360%
26%
30%
11%
Active
Large Value
0.290%
89%
39%
18%
Passive
Financial
0.100%
42%
45%
27%
Passive
Muni California Long
0.650%
25%
7%
7%
Active
Tactical Allocation
1.180%
40%
9%
Passive
Mid-Cap Value
0.600%
91%
28%
Passive
Utilities
0.960%
10%
21%
Active
Diversified Emerging Mkts
0.750%
14%
46%
54%
Passive
Muni National Long
0.830%
89%
9%
12%
Active
Commodities Broad Basket
0.950%
30%
42%
38%
Active
Preferred Stock
0.850%
50%
41%
16%
Active
Latin America Stock
0.800%
40%
32%
29%
Passive
Long-Short Equity
1.410%
20%
33%
18%
Active
Natural Resources
0.610%
57%
23%
18%
Passive
High Yield Muni
0.700%
55%
18%
25%
Active
Large Growth
0.580%
7%
23%
26%
Passive
Technology
0.570%
55%
46%
43%
Passive
Energy Limited Partnership
0.950%
62%
97%
29%
Active
Large Value
0.500%
71%
13%
8%
Passive
Bank Loan
0.860%
29%
69%
15%
Passive
Muni National Short
0.550%
80%
6%
Active
Small Value
0.600%
15%
40%
24%
Passive
Technology
0.610%
32%
25%
25%
Passive
Muni National Short
0.450%
30%
22%
Active
Large Value
0.650%
20%
84%
37%
Passive
Intermediate Government
0.200%
20%
12%
43%
Passive
Inflation-Protected Bond
0.180%
38%
43%
6%
Passive
Foreign Large Value
0.390%
81%
58%
53%
Passive
Large Value
0.370%
35%
82%
47%
Passive
Large Value
0.370%
70%
23%
22%
Passive
Large Value
0.370%
66%
68%
56%
Passive
Large Blend
0.320%
57%
31%
15%
Passive
Ultrashort Bond
0.250%
48%
43%
30%
Active
Aggressive Allocation
0.690%
23%
11%
20%
Active
High Yield Muni
0.300%
5%
35%
19%
Active
India Equity
0.190%
54%
44%
36%
Passive
Japan Stock
0.090%
83%
46%
30%
Passive
Latin America Stock
0.190%
16%
24%
Passive
High Yield Bond
0.400%
31%
45%
Active
Technology
0.500%
15%
8%
Active
Global Bond
0.250%
15%
46%
Active
Bank Loan
0.450%
14%
83%
Active
Short Government
0.250%
8%
6%
34%
Active
Small Blend
0.350%
17%
60%
35%
Passive
Options Trading
0.850%
55%
5%
Active
Options Trading
0.850%
42%
19%
Active

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