Compare

VOO vs VUG

Vanguard 500 Index Fund vs Vanguard Morningstar Growth Index Fund, side by side on every metric on file. 108 of 161 differ — fees, returns, holdings, sector exposure and tracking.

VOO ETF
Vanguard 500 Index Fund
×
VUG ETF
Vanguard Morningstar Growth Index Fund
×

VOO vs VUG: the short answer

Both funds charge the same 0.03% a year.

Over the past year VOO returned the most at 16%, against 13.5% for VUG. Those are price returns — distributions are not in them — and last year says nothing about the next one.

VOO is the largest at $1.67T in net assets, and the portfolios are spread differently: VOO holds 506 positions against 150 for VUG.

VOO vs VUG at a glance

Best 1-year
VOO
16% price return
Largest
VOO
$1.67T in assets
Metrics compared
161
108 of them differ

VOO vs VUG: all 161 metrics

Metric VOO Vanguard 500 Index Fund VUG Vanguard Morningstar Growth Index Fund
Profile
Category Equity Equity
Tags Index Fund Index Fund
Geography US US
Family VANGUARD INDEX FUNDS VANGUARD INDEX FUNDS
Structure Lends Securities Lends Securities
Fees
AFFE — —
Waiver Expiry — —
Gross Expense 0.03% 0.03%
Min. Investment $3.0K $3.0K
Net Expense 0.03% 0.03%
Size
AUM $1.67T $379.29B
Returns
2021 28.7% 27.3%
2022 -18.2% -33.1%
2023 26.3% 46.8%
2024 25.0% 32.7%
2025 17.8% 19.4%
Last Distribution 1.82 0.09
Last Ex-Date 28 Sep 2026 28 Sep 2026
Dist. TTM 7.43 1.16
Dist. Yield TTM 1.04% 1.26%
Div. Yield TTM 1.04% 1.26%
10Y Ann. (Prospectus) — —
5Y Ann. (Prospectus) — —
Since Inception (Prospectus) — —
Worst Quarter (Prospectus) -19.6% -22.4%
1M 2.11% 4.92%
1Y 16.0% 13.5%
3M 3.61% 5.76%
3Y Ann. 21.7% 25.5%
5Y Ann. 12.2% 13.4%
6M 14.5% 20.1%
1M + Dist. 2.37% 5.02%
1Y + Dist. 17.2% 14.9%
3M + Dist. 3.88% 5.86%
3Y Ann. + Dist. 22.9% 27.8%
5Y Ann. + Dist. 13.2% 15.4%
6M + Dist. 15.1% 20.4%
YTD + Dist. 15.0% 14.0%
YTD 14.1% 13.1%
Total 12M 22.3% 18.6%
Total 1M -0.95% -3.57%
Total 3M 15.2% 18.7%
Total 6M 10.2% 6.37%
Market Cap
Large Cap 34.9% 18.8%
Cap Coverage 98.4% 99.7%
Mega Cap 64.8% 81.1%
Micro Cap 0.02% 0.00%
Mid Cap 0.33% 0.03%
Size Style Large Cap Large Cap
Small Cap 0.00% 0.00%
Avg Mkt Cap $1.66T $2.61T
Valuation
Look-Through Yield 19.4% 21.3%
EV/EBITDA 12.60 21.16
P/E 24.72 30.71
P/S 3.54 8.47
Asset Mix
Derivatives 0.07% 0.07%
Equity 99.9% 99.8%
Fixed Income 0.00% 0.00%
Fund & Cash 0.05% 0.09%
Other Assets 0.00% 0.00%
Sector
Basic Materials 1.99% 0.46%
Communication Services 1.45% 0.16%
Consumer Discretionary 8.53% 10.3%
Consumer Staples 4.42% 1.32%
Energy 3.45% 0.26%
Financial Services 11.6% 4.18%
Healthcare 9.17% 4.37%
Industrials 8.63% 5.42%
Other / Unclass. 0.46% 0.17%
Real Estate 1.58% 0.68%
Technology 46.7% 72.7%
Utilities 1.98% 0.00%
Top Sector Technology Technology
Top Sector % 47.0% 72.8%
Bond Character
Avg Coupon — —
Corporate 99.9% 99.9%
Dated Holdings 0.00 0.00
Rate Sensitivity — —
Effective Duration — —
Effective Maturity — —
Municipal 0.00% 0.00%
Non-US Sovereign 0.00% 0.00%
Agency & GSE 0.00% 0.00%
Treasury 0.00% 0.00%
Avg Legal Maturity — —
Geography
US Weight 98.1% 99.8%
Top Country United States United States
Portfolio
Holdings 506 150
Short 0.00% 0.00%
Concentration
Effective Holdings 46 17
Top 10 37.8% 63.5%
Largest Position 8.08% 13.6%
topholding_cusip 67066G104 67066G104
Top Holding NVIDIA Corp.NVDA NVIDIA Corp.NVDA
topholding_ticker NVDA NVDA
Flows
Positive Months 83.3% 81.0%
Flow 12M % -5.81% 2.71%
Flow 12M -$97.16B $10.28B
Flow 1M % -0.51% -0.03%
Flow 3M % 2.14% 0.59%
Cost of Ownership
Fund Age 10.3 —
Turnover 2.00% 12.0%
Risk
Spread HY — —
Spread IG — —
DV01 10Y — —
Liabilities % 0.14% 0.06%
Tracking Diff. -0.17% -0.19%
Tracking Error 0.01% 0.03%
Risk Ratios
Std Dev 6M 12.0% 17.6%
Std Dev YTD 13.1% 18.3%
Std Dev 1Y 13.0% 18.1%
Std Dev 2Y 16.0% 20.9%
Std Dev 3Y 14.9% 19.7%
Std Dev 5Y 16.9% 22.5%
Max Drawdown 6M -4.47% -9.10%
Max Drawdown YTD -9.19% -14.7%
Max Drawdown 1Y -9.19% -16.7%
Max Drawdown 2Y -19.0% -23.0%
Max Drawdown 3Y -19.0% -23.0%
Max Drawdown 5Y -25.4% -36.0%
Sharpe 6M 1.98 1.94
Sharpe YTD 1.09 0.76
Sharpe 1Y 0.92 0.59
Sharpe 2Y 0.77 0.76
Sharpe 3Y 1.10 1.03
Sharpe 5Y 0.54 0.50
Sortino 6M 3.08 3.09
Sortino YTD 1.63 1.14
Sortino 1Y 1.33 0.85
Sortino 2Y 1.13 1.12
Sortino 3Y 1.61 1.52
Sortino 5Y 0.77 0.72
Alpha 6M 0.10% 1.00%
Alpha YTD 0.01% -5.07%
Alpha 1Y 0.03% -5.25%
Alpha 2Y 0.12% 0.51%
Alpha 3Y 0.11% -0.35%
Alpha 5Y 0.04% -0.36%
Beta 6M 1.00 1.40
Beta YTD 1.00 1.34
Beta 1Y 1.00 1.32
Beta 2Y 0.99 1.25
Beta 3Y 0.99 1.26
Beta 5Y 0.99 1.27
Identity
Benchmark I:SP500 I:SP500
CIK 1004655 923202
Share Class ETF Shares ETF Shares
Class ID C000092055 C000007786
Data Holdings, Flows, AUM, Returns, Profile, Prices, Ratios Holdings, Flows, AUM, Returns, Profile, Prices, Ratios
Fiscal Year End 12-31 12-31
Flows Date 30 Jun 2026 30 Jun 2026
Portfolio Date 31 Aug 2026 31 Aug 2026
NAV Date 7 Oct 2026 7 Oct 2026
NAV 714.6 92.44
NAV Source Issuer Issuer
AUM Date 30 Jun 2026 30 Jun 2026
Price Date 9 Oct 2026 9 Oct 2026
Returns Date 28 Apr 2026 28 Apr 2026
Prospectus Date 28 Apr 2026 28 Apr 2026
Series ID S000002839 S000002842
Total Ret. Date 30 Jun 2026 30 Jun 2026

Reading this comparison. A blank cell means not disclosed, never zero. Green marks the best value in a row and red the worst, but only on the sixteen metrics where better is a fact rather than a view — a lower fee, a lower tracking error, a higher return, a larger net inflow. Nothing is coloured on size, turnover or portfolio weights, where more is not better and a tint would be an opinion. A row where the funds tie is left uncoloured. Return columns are price returns; Total Return columns are the fund's own distribution-inclusive figures and end at its last reported portfolio date, so the two are not comparable with each other. Every figure comes from Business Quant's ETF and mutual fund database.

Measured on. Prices 9 Oct 2026 · Portfolios 9 Oct 2026 · AUM and flows 30 Sep 2026 · Prospectus 9 Oct 2026. The four do not move on one clock, so each row carries the date of the record it came from rather than the date you loaded the page.

Nothing here is investment advice or a recommendation to buy or sell any fund. Screen the whole universe on the ETF and mutual fund screener.

VOO vs VUG: common questions

Do VOO and VUG cost the same?

Yes — each charges 0.03% a year. On cost there is nothing to choose between them.

How different are VOO and VUG really?

Of the 161 metrics on file for both, 108 differ and the rest match. The table below lists the differences first; untick “only what differs” to see everything, including what they agree on.

Which performed better, VOO or VUG?

Over the last twelve months VOO returned 16% and VUG returned 13.5%. Those are price returns measured to the last close on file and exclude distributions, so a fund paying a larger yield looks worse on this line than it was. Past performance is not a forecast, and one year is a short window.

Can I hold both VOO and VUG?

Nothing stops you, but check the overlap first: the sector and holdings rows below show how much of each portfolio is the same securities in the same weights. Two funds tracking the same index are one position held twice, not diversification. This page reports the numbers and does not give investment advice.