Recapping The Trump Years Through A Markets Lens

 | Jan 20, 2021 07:18AM ET

The 45th president’s term ends today, putting a fork in one of the most turbulent periods in American history to rest. As the nation prepares for the the Biden era, whatever that means, let’s take a quick look at how markets fared through Donald’s tenure, based on a set of exchange traded funds.

Let’s begin with a big-picture review of global equity markets via US, foreign developed and emerging markets slices from the close of Election Day in 2016 (Nov. 8) through yesterday (Jan. 19, 2021). The main takeaway on this front: US stocks (VTI) dramatically outperformed its counterparts (and the other major asset classes too). Vanguard Total US Stock Market (VTI) nearly doubled during this period with a 97% total return (all results throughout are cited as cumulative changes). Foreign shares, by contrast, rose roughly 50% to 60%, according to results for Vanguard FTSE Developed Markets (VEA) and Vanguard FTSE Emerging Markets (VWO).