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3-Star ETFs

Funds whose risk-adjusted returns fall within the top 67.5% relative to category peers receive a 3-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
0.920
85
66
55
Active
Large Value
0.910
80
25
75
Active
Short-Term Bond
0.760
32
43
45
Active
Multisector Bond
0.470
89
68
75
Active
Derivative Income
2.020
89
51
45
Active
World Large-Stock Value
0.670
4
57
Passive
Energy Limited Partnership
0.350
49
30
19
Passive
Large Value
0.290
39
66
Passive
Tactical Allocation
1.690
57
38
51
Active
World Allocation
0.410
56
56
49
Active
World Allocation
0.960
15
81
63
Active
Large Growth
0.600
47
56
Active
Allocation--50% to 70% Equity
0.610
36
51
Active
India Equity
0.750
79
92
74
Passive
Large Value
0.350
15
23
31
Passive
Financial
0.640
61
72
Active
World Large-Stock Blend
0.100
Passive
Foreign Large Value
0.350
10
50
48
Active
Large Blend
0.190
39
55
73
Active
Foreign Large Blend
0.310
30
56
47
Active
Large Growth
0.350
71
44
59
Passive
Commodities Broad Basket
0.750
Passive
Large Blend
0.750
Passive
Mid-Cap Growth
0.480
18
52
50
Passive
Foreign Large Growth
0.600
8
47
Active
Large Blend
0.590
9
48
30
Active
Corporate Bond
0.360
44
25
33
Active
Foreign Large Value
0.390
15
36
Passive
Large Blend
0.290
82
79
54
Passive
Financial
0.084
37
37
36
Passive
Commodities Broad Basket
0.950
98
89
83
Active
Latin America Stock
0.800
23
24
39
Passive
Muni California Long
0.500
21
25
Active
Large Blend
0.560
53
77
50
Passive
World Allocation
2.460
13
5
9
Active
China Region
0.800
33
71
55
Passive
Technology
0.600
66
72
61
Passive
Consumer Defensive
0.640
13
76
79
Passive
Foreign Small/Mid Value
0.800
83
25
39
Passive
Mid-Cap Value
0.600
6
19
34
Passive
Large Value
0.500
96
73
Passive
Foreign Large Value
0.570
1
31
32
Passive
Technology
0.510
76
90
74
Passive
Equity Energy
0.640
49
46
60
Passive
Ultrashort Bond
0.250
58
65
60
Active
Europe Stock
0.800
52
76
40
Passive
Global Real Estate
0.600
45
67
63
Passive
Commodities Broad Basket
0.950
69
40
52
Active
Preferred Stock
0.850
42
38
Active
Large Blend
0.600
14
59
Passive
Short Government
0.680
32
70
28
Active
Systematic Trend
0.950
55
73
70
Active
Mid-Cap Blend
0.590
40
23
29
Passive
Mid-Cap Growth
0.700
50
48
53
Passive
Mid-Cap Growth
0.630
19
46
50
Passive
Large Growth
0.580
72
47
62
Passive
Foreign Large Blend
0.830
6
24
56
Active
Europe Stock
0.830
21
30
33
Active
Foreign Large Value
0.600
35
82
66
Passive
Real Estate
0.500
35
76
70
Passive
Small Growth
0.700
19
62
55
Passive
Small Value
0.710
60
16
24
Passive
Consumer Cyclical
0.600
18
88
83
Passive
Convertibles
0.950
58
37
42
Active
High Yield Bond
1.010
76
56
47
Passive
Intermediate Core-Plus Bond
0.560
63
45
Active
Technology
0.610
40
42
40
Passive
Mid-Cap Blend
0.700
39
42
32
Passive
Intermediate Core Bond
0.350
65
25
37
Active
Intermediate Government
0.200
22
46
60
Passive
Global Real Estate
0.450
11
48
52
Passive
Inflation-Protected Bond
0.180
65
49
51
Passive
Foreign Large Value
0.470
85
58
71
Passive
Natural Resources
0.460
64
86
59
Passive
Infrastructure
0.470
85
55
56
Passive
Long-Short Equity
1.140
22
33
Active
Allocation--85%+ Equity
0.690
7
45
Active
Tactical Allocation
1.050
71
31
Active
Pacific/Asia ex-Japan Stk
0.190
43
58
Passive
Europe Stock
0.090
62
66
Passive
India Equity
0.190
50
52
Passive
Japan Stock
0.090
41
50
Passive
Muni National Long
0.300
93
26
Active
World Bond
0.250
33
57
Active
Corporate Bond
0.350
91
52
59
Active
Short Government
0.250
34
73
66
Active
Large Blend
0.290
83
74
54
Active
World Large-Stock Blend
0.350
41
61
48
Passive
Small Blend
0.350
34
77
Passive
Mid-Cap Value
0.270
73
79
Passive
Health
0.500
66
77
63
Passive
Technology
0.680
47
46
Passive
Consumer Cyclical
0.500
92
60
Passive

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