U.S. Total Bond Index Master Portfolio
Master Investment Portfolio
Index fund

Average annual returns

No trailing-return data available for this share class.

Risk statistics

81 months through March 31, 2026
Volatility (ann.)
5.61%
Sharpe
0.65
Sortino
1.11
Max drawdown
-17.21%
Best month
4.44%
Worst month
-4.33%
Beta vs VBTLX
1.01
Correlation
1.00

Derived from N-PORT monthly total returns; distinct from the prospectus returns above.

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