Components Vanguard High Dividend Yield ETF - USD

ETF

VYM

US9219464065

Delayed Nyse 12:28:59 2024-04-25 pm EDT 5-day change 1st Jan Change
117.4 USD -0.47% Intraday chart for Vanguard High Dividend Yield ETF - USD +2.28% +5.11%

Composition of Vanguard High Dividend Yield ETF - USD

Weight
193.6 USD +0.27%+6.78%+13.78%3.48%
1,296 USD +3.10%+2.71%+15.84%3.41%
120.9 USD -0.15%+2.00%+20.91%2.87%
146.7 USD -1.23%+0.43%-6.62%2.68%
331.7 USD -0.38%-0.25%-4.18%2.46%
163.1 USD +0.31%+3.71%+11.31%2.45%
130 USD +2.36%+3.70%+19.12%1.96%
167.5 USD -0.16%+1.70%+8.06%1.94%
164.7 USD +0.70%+4.52%+10.41%1.77%
177.3 USD -0.04%+2.84%+4.31%1.66%
37.7 USD -1.63%+5.55%+12.13%1.64%
61.96 USD +0.66%+4.99%+4.96%1.63%
60.48 USD +1.01%+1.81%+14.80%1.60%
277.9 USD +0.42%+2.62%-6.21%1.53%
34.82 USD +0.94%-0.70%-30.76%1.50%
48.04 USD -0.63%-0.28%-5.04%1.45%
59.94 USD -1.10%+2.30%+22.09%1.28%
37.66 USD -6.35%-5.31%-14.45%1.24%
25.42 USD -3.22%+0.20%-11.64%1.15%
162 USD -1.02%+0.59%+12.29%1.14%
39.22 USD -0.70%-2.53%+3.75%1.12%
173.5 USD -0.73%+5.73%+1.52%1.10%
268.8 USD -1.53%+1.97%-6.98%1.09%
340 USD -6.47%-5.01%+14.99%1.07%
242.3 USD +4.44%+5.55%-1.24%1.06%
97 USD -2.03%+6.25%+3.00%1.04%
192.3 USD -1.28%+0.41%-8.51%0.99%
129.8 USD +0.41%+1.57%+11.85%0.99%
166.8 USD -9.38%-8.37%+1.67%0.97%
417.8 USD -1.24%+3.76%+8.42%0.87%
66.8 USD +0.36%+4.22%+9.83%0.87%
101.7 USD +0.69%+1.02%+20.92%0.86%
755.1 USD -1.01%+1.28%-6.76%0.86%
16.56 USD -1.49%+1.35%-1.37%0.85%
146.8 USD +0.15%+2.78%-6.69%0.81%
92.12 USD -1.85%+2.23%-1.05%0.79%
79.28 USD -1.37%+0.03%-3.85%0.78%
88.04 USD -0.79%+1.04%-8.28%0.77%
44.73 USD -8.45%-7.38%-12.81%0.74%
65.56 USD -2.26%-1.12%-19.24%0.72%
67.31 USD -0.68%-3.17%-14.91%0.72%
462.7 USD +0.77%+1.12%+1.75%0.71%
70.86 USD -0.62%+5.40%-2.26%0.70%
61.66 USD -1.30%+5.93%+20.10%0.70%
246.8 USD +0.09%+1.90%+5.85%0.68%
316.8 USD -0.61%+2.82%+31.90%0.68%
122.1 USD -1.39%+1.39%-6.82%0.66%
210.7 USD -0.73%+0.54%+32.39%0.66%
245.4 USD +1.00%+0.04%+8.63%0.65%
248.7 USD -1.23%-0.12%-5.12%0.56%
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ETF Ratings

Description

US9219464065
Total Expense Ratio 0.06%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE High Dividend Yield Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2006-11-09
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 50,832 M€
AuM 1M 48,565 M€
AuM 3 months 46,835 M€
AuM 6 months 45,177 M€
AuM 12 months 44,378 M€
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