IBM 401k Plus Plan Daily Snapshot, Alerts, Charts, and Your Personalized List

Latest price update was as of end of day: 2025-03-11

Funds with year-to-date gains.
Compare top public (type M) mutual funds or add your own symbols here.
Click the symbol below to see a graph of that one fund.

TYPE SYMBOL NAME PRICE YTDCHG
I IBM IBM STOCK 10.660000 13.163%
I EURO EUROPEAN STOCK IDX 3.150000 12.500%
M FIEUX FID EUROPE 38.660000 11.476%
M DFIVX DFA INTL VALUE I 22.720000 10.345%
M DODFX DODGE & COX INTL STK 54.840000 9.900%
M FHKCX FID CHINA REGION 41.910000 7.765%
M PCRIX PIM COM REAL RET I 14.170000 7.757%
M RIGGX AF INTL GTH & INC R6 38.630000 7.755%
M DFALX DFA LARGE CAP INTL I 28.770000 7.632%
M DFVQX DFA INTL VECTOR EQ I 14.500000 7.407%
M VTRIX VANGUARD INTL VALUE 40.330000 7.346%
M FOSKX FID OVERSEAS K 66.550000 6.942%
I TINTL INTL STOCK MKT IDX 6.650000 5.892%
M DODWX DODGE & COX GLOBAL 14.500000 5.762%
M FDIKX FID DIVERSIFD INTL K 44.390000 5.540%
M DFISX DFA INTL SMALL CO I 20.470000 5.515%
M FNIDX FID INTL SUSTN IDX 12.720000 5.211%
M FPBFX FID PACIFIC BASIN 32.050000 4.841%
M FISMX FID INTL SMALL CAP 32.010000 4.642%
M FIDKX FID INTL DISCOVERY K 49.870000 4.549%
M FSEAX FID EMERGING ASIA 50.690000 4.172%
M PELBX PIM EM LC BOND INST 5.810000 4.122%
M VINEX VANG INTL EXPLOR INV 17.050000 4.090%
M DODBX DODGE & COX BALANCED 105.720000 3.953%
M VMNVX VANG GLB MIN VOL ADM 31.980000 3.932%
M RERGX AF EUROPAC GROWTH R6 55.790000 3.853%
M PGOVX PIM LT US GOVT INST 14.170000 3.582%
M DODLX DODGE & COX GLBL BND 10.880000 3.520%
M RCWGX AF CAP WORLD BOND R6 16.150000 3.393%
M VWILX VANG INTL GROWTH ADM 105.000000 3.377%
M VUSUX VANG LT TREASURY ADM 8.150000 3.295%
M VGWAX VANG GL WELLNGTN ADM 32.480000 3.177%
M FIREX FID INTL REAL ESTATE 9.160000 3.153%
I HIYLD HI YLD EMG MKT BOND 2.980000 3.114%
M DFEVX DFA EMERG MKTS VALUE 30.780000 2.909%
M DFEMX DFA EMERGING MARKETS 29.390000 2.870%
I IREAL INTL REAL ESTATE IDX 11.480000 2.867%
M PFUIX PIM INTL BOND UH I 7.570000 2.853%
M PAAIX PIM ALL ASSET INST 11.120000 2.773%
I INPBD INFL PROTECTED BOND 3.060000 2.685%
I TBOND TOTAL BOND MARKET 2.810000 2.555%
M FRIFX FID REAL ESTATE INC 12.230000 2.515%
M VGYAX VANG GL WSLY INC ADM 27.620000 2.486%
M DODIX DODGE & COX INCOME 12.680000 2.423%
M FRESX FID REAL ESTATE INVS 39.480000 2.306%
I CORBD LONG-TERM CORP BOND 4.190000 2.195%
I EMSTK EMERGING MKT STK IDX 14.700000 2.154%
M PTTRX PIM TOTAL RT INST 8.660000 2.123%
M PTSAX PIM TOT RTN ESG INST 7.710000 2.119%
M VWIAX VANG WELLESLEY ADM 61.220000 2.050%
M DFGEX DFA GLOB REAL ESTATE 10.300000 1.980%
M DODGX DODGE & COX STOCK 262.180000 1.944%
M FGMNX FID GNMA 10.170000 1.904%
M FNMIX FID NEW MARKETS INC 12.890000 1.897%
M PRRSX PIM RE REAL RET INST 26.720000 1.829%
M PIMIX PIMCO INCOME INST 10.710000 1.806%
M FGOVX FIDELITY GOVT INCOME 9.150000 1.780%
M VFIUX VANG INTM TREAS ADM 9.900000 1.747%
I PACFC PACIFIC STOCK IDX 2.340000 1.739%
I INCLF INCOME PLUS LS 4.590000 1.724%
M VBIMX VANG INTM BOND INST 10.300000 1.678%
M PEBIX PIM EM MKTS BD INST 8.590000 1.657%
M VFIJX VANG GNMA ADM 9.270000 1.645%
M RNWGX AF NEW WORLD R6 78.200000 1.598%
M VBTIX VANG TOT BD MKT INST 9.630000 1.582%
M PIGIX PIM INV GR CR BD I 9.030000 1.575%
M FNSHX FID FREEDOM INC K 10.700000 1.518%
M FSNKX FID FREEDOM 2010 K 14.130000 1.509%
M VBITX VANG ST BOND IDX IS 10.220000 1.490%
M FTBFX FID TOTAL BOND 9.540000 1.489%
I GRESI GLOBAL RE STOCK IDX 13.150000 1.466%
I CONLF CONSERVATIVE LS 5.610000 1.447%
M VWETX VANG LT INV GR ADM 7.630000 1.328%
I T2020 TARGET DATE - 2020 20.760000 1.318%
M FSNLX FID FREEDOM 2015 K 11.550000 1.316%
M VEIRX VANG EQUITY INC ADM 89.330000 1.316%
M PDIIX PIM DIVERS INC INST 9.720000 1.250%
M RMFGX AF AMER MUTUAL R6 55.880000 1.250%
M VSGDX VANG ST FEDERAL ADM 10.240000 1.186%
M VFIDX VANG INTM INV GR ADM 8.660000 1.168%
M FSNOX FID FREEDOM 2020 K 14.520000 1.114%
M PFIUX PIM DYNAMIC BOND I 10.090000 1.102%
M FEIKX FID EQUITY INCOME K 74.380000 1.074%
M VFSIX VANG ST INVT GR INST 10.380000 1.071%
M FFXSX FID LTD TERM GOVT 9.660000 1.046%
I T2025 TARGET DATE - 2025 22.290000 1.043%
M VFIRX VANG ST TREASURY ADM 9.880000 1.022%
M PTLDX PIM LOW DUR INST 9.310000 0.976%
M VGHAX VANG HEALTHCARE ADM 77.640000 0.975%
M VWEAX VANG HI YLD CORP ADM 5.440000 0.928%
M FJPNX FID JAPAN 16.640000 0.910%
M FSNPX FID FREEDOM 2025 K 13.730000 0.882%
M PCEIX PIM CLIMATE BOND IS 8.890000 0.794%
M PLDIX PIM LOW DUR ESG INST 9.190000 0.768%
M VTINX VANG TARGET RET INC 13.200000 0.763%
I T2030 TARGET DATE - 2030 24.270000 0.705%
I MODLF MODERATE LS 9.070000 0.666%
I REALE REIT IDX 4.699700 0.636%
M FSNQX FID FREEDOM 2030 K 17.660000 0.627%
M PHIYX PIM HIGH YIELD INST 8.030000 0.627%
M VTWNX VANG TARGET RET 2020 26.630000 0.566%
I SVALU INTEREST INCOME FUND 7.960000 0.505%
I T2035 TARGET DATE - 2035 26.500000 0.341%
M VESGX VG GL ESG STK ADM 45.200000 0.333%
M FSNUX FID FREEDOM 2035 K 15.700000 0.319%
M VTTVX VANG TARGET RET 2025 18.720000 0.161%
I T2040 TARGET DATE - 2040 28.100000 0.036%
M FSUTX FID SEL UTILITIES 120.970000 0.025%
I LCAPV LARGE-CAP VALUE IDX 5.310000 0.000%
M SPHIX FID HIGH INCOME 7.870000 0.000%
M VDIGX VANG DIV GROWTH INV 36.210000 0.000%