Vanguard Lg-Cp Idx;ETF (VV)
Price Change Change % 52wk High 52wk Low
$48.78 0.62 1.29% $52.38 $30.398
Fund Overview Investment Policy
NYSE Ticker Symbol VV The Fund seeks to track the performance of a benchmark index that measures the investment return of large capitalization, U.S. stocks.The Fund seeks capital appreciation. Fidelity Management & Research may buy "growth" stocks or "value" stocks or a combination of both. They rely on fundamental analysis of each issuer and its potential for success in light of its current financial condition, its industry position, and economic and market conditions.
Inception Date 01/27/2004
Asset Type Equity Funds
Yield-30 Day (%) 0.00
Yield-12 Months (%) 2.16
Total Net Assets ($M) 48.16
Fund Manager Ryan E. Ludt
Fund Manager Tenure 2005
Risk Profile Management Company
Alpha 0.05 Vanguard Group Inc
100 Vanguard Boulevard
Malvern, Malvern 19355
800-662-7447
Beta 1
R-Squared 1
Standard Deviation 5.7
Performance Overview Growth of 10K
ETF Performance
Growth of Ten Thousand
Performance History
Company Name Fund Return Peer Group Avg. S&P 500
1 Week -1.26% -1.35% -1.23%
4 Week -6.08% -6.21% -6.16%
13 Week 1.16% 0.44% 0.78%
YTD -3.73% -3.94% -3.88%
1 Year 26.75% 25.70% 25.35%
3 Year (Annualized) -6.82% -7.03% -7.78%
5 Year (Annualized) 0.57% -0.01% -0.55%
10 Year (Annualized) NS% -0.51% -1.44%
Sector Allocations
sector allocations
Top 10 Holdings
Company Name # of Shares Market Value % of Holdings
1 Exxon Mobil 1.10M 70.74M 3.01%
2 Microsoft Corp 1.83M 50.86M 2.25%
3 Apple Inc 204.83K 39.76M 1.74%
4 Johnson & Johnson 630.71K 39.34M 1.63%
5 Procter & Gamble Co 668.04K 40.76M 1.63%
6 IBM 300.13K 36.58M 1.58%
7 AT&T Inc 1.35M 33.72M 1.52%
8 JPMorgan Chase 899.89K 33.93M 1.51%
9 General Electric 2.43M 37.93M 1.48%
10 Chevron 458.78K 32.17M 1.42%