IVOV vs VYM

Quick Verdict

VYM has a lower expense ratio. VYM delivered stronger 1-year returns. VYM offers more diversification with 558 holdings.

Lower Fees: VYMHigher Returns: VYMMore Diversified: VYM

Side-by-Side Comparison

MetricIVOVVYMWinner
Expense Ratio0.10%0.04%
AUM$1.3B$79.0B
Dividend Yield1.81%2.86%
Holdings307568
YTD Return+13.16%+15.20%
1Y Return+23.08%+25.56%
3Y Return (annualized)+12.67%+17.86%
5Y Return (annualized)+9.14%+12.35%
Volatility (annualized)18.3%14.6%
Max Drawdown-46.0%-58.8%
Fund FamilyVanguard (US)Vanguard (US)
CategoryEquityEquity
InceptionSep 7, 2010Nov 10, 2006

IVOV vs VYM Performance

Vanguard S&P Mid-Cap 400 Value ETF (IVOV) is a ETF from Vanguard (US) and Vanguard High Dividend Yield ETF (VYM) is a ETF from Vanguard (US). Over the past year IVOV returned +23.08% while VYM returned +25.56%. Year to date, IVOV is up 13.16% versus a gain of 15.20% for VYM.

Over three years, IVOV compounded at +12.67% per year against +17.86% for VYM; over five years the annualized figures are +9.14% and +12.35% respectively. Across the full 16-year window we track, IVOV has the edge at +11.79% annualized vs +7.05%. Past performance does not guarantee future results.

Risk: Volatility and Drawdowns

IVOV has been the more volatile fund, with annualized monthly volatility of 18.3% compared with 14.6% for VYM. Lower volatility generally means a smoother ride, though it often comes with lower long-run returns.

The deepest peak-to-trough decline in our data was -46.0% for IVOV and -58.8% for VYM. Drawdown depth is worth weighing if you expect to sell during market stress rather than ride it out.

The two funds' monthly returns correlate at 0.90. They move almost in lockstep, so holding both mostly duplicates the same exposure.

Fees and Cost Over Time

IVOV charges 0.10% per year while VYM charges 0.04%. On a $10,000 position that is $10 vs $4 annually, a gap of $6 per year that compounds over a long holding period. On income, IVOV currently yields 1.81% against 2.86% for VYM.

Holdings Overlap

3.9%overlap

IVOV and VYM share 121 holdings out of 735 unique holdings combined, representing a 3.9% weight overlap.

Moderate overlap means holding both could provide meaningful diversification benefits.

Top Shared Holdings

StockWeight in IVOVWeight in VYMDifference
RS1.10%0.07%1.03%
WSO0.84%0.06%0.78%
PR0.83%0.06%0.77%
OVVProProPro
RGAProProPro
BWAProProPro
UNMProProPro
ALLYProProPro
OCProProPro
WBS.PR.GProProPro
See all 10 holdings IVOV shares with VYM
Exact weights in each fund and the difference, for every overlapping position.
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Frequently Asked Questions

Which is cheaper, IVOV or VYM?

IVOV has an expense ratio of 0.10% while VYM charges 0.04%. VYM is the cheaper option. On a $10,000 investment, that is $6 per year of difference.

Which performed better, IVOV or VYM?

Over the past year IVOV returned +23.08% vs +25.56% for VYM, so VYM leads on 1-year performance. Over the longest common window we track (16 years), IVOV annualized +11.79% vs +7.05% for VYM. Past performance does not guarantee future results.

Which is riskier, IVOV or VYM?

IVOV has been the more volatile fund at 18.3% annualized versus 14.6% for VYM. Worst drawdown: IVOV -46.0% vs VYM -58.8%.

Should I hold both IVOV and VYM?

IVOV and VYM have a monthly-return correlation of 0.90, so they move almost identically. Holding both adds little diversification - most investors pick one, usually on fees or the specific index tracked.

What is the holdings overlap between IVOV and VYM?

IVOV and VYM share 121 common holdings with a 3.9% weight overlap. Combined, they hold 735 unique securities.

Which pays a higher dividend, IVOV or VYM?

IVOV yields 1.81% while VYM yields 2.86%, so VYM currently pays the higher dividend yield.

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