Vanguard Wellington U.S. Value Active ETF
About
Vanguard Wellington U.S. Value Active ETF (US9219386011) is a US-listed equity ETF tracking the Russell 1000 Value Index. With a expense ratio of 0.3%, it is moderately priced, paying distributions. The fund holds 88 positions across 5 regions with 68M in assets, with heavy concentration — 86% in United States.
Score Breakdown
Scores are scaled 1–10 on a logarithmic curve relative to all ETFs in the database.
| Component | Score | Details |
|---|---|---|
| Overall | 6.5 | Diversification (45%) · Cost (30%) · Liquidity (25%) |
| Cost (30%) | 8.2 | Tracking Difference: 10.0 · TD Consistency: — · Expense Ratio: 3.9 |
| Diversification (45%) | 6.1 | Holding Count: 3.4 · Country Concentration: 5.6 · Sector Concentration: 10.0 |
| Liquidity (25%) | 5.2 | Assets Under Management |
Data sources: provider factsheets, exchange data, and NAV history. Information for educational purposes only — not investment advice.
Costs
8.2 This fund has low total costs, with competitive tracking and expense ratios.
Expense Ratio0.00%
Expense Ratio0.00%
| Metric | Value |
|---|---|
| Expense Ratio | 0.30% |
Cumulative Returns
Performance across different time periods.
1 Month+0.00%
3 Months+0.00%
Year to Date+0.00%
1 Year+0.00%
Inception+0.00%
1 Month+0.00%
3 Months+0.00%
Year to Date+0.00%
1 Year+0.00%
Inception+0.00%
| Period | Cumulative Return |
|---|---|
| 1 Month | +0.00% |
| 3 Months | +0.08% |
| 6 Months | +0.08% |
| 1 Year | +0.09% |
| 3 Years | — |
| 5 Years | — |
| 10 Years | — |
| YTD | +0.04% |
| Since Inception | +0.09% |
Holdings
3.4 With only 88 individual holdings, this fund is relatively concentrated compared to other ETFs.
View all holdings (50)
| # | Holding | Ticker | Weight |
|---|---|---|---|
| 1 | Microsoft Corp | MSFT | 287.00% |
| 2 | Amazon.com Inc | AMZN | 286.00% |
| 3 | Alphabet Inc | GOOGL | 266.00% |
| 4 | Merck & Co Inc | MRK | 264.00% |
| 5 | SLB Ltd | SLB | 225.00% |
| 6 | Chubb Ltd | CB | 224.00% |
| 7 | ASML HOLDING NV (USD) | ASML | 189.00% |
| 8 | Dover Corp | DOV | 173.00% |
| 9 | Morgan Stanley | MS | 169.00% |
| 10 | Equinix Inc | EQIX | 169.00% |
| 11 | Raymond James Financial Inc | RJF | 167.00% |
| 12 | T-Mobile US Inc | TMUS | 166.00% |
| 13 | Sempra | SRE | 165.00% |
| 14 | Valero Energy Corp | VLO | 158.00% |
| 15 | AstraZeneca PLC | AZN | 156.00% |
| 16 | M&T Bank Corp | MTB | 155.00% |
| 17 | Deere & Co | DE | 155.00% |
| 18 | Emerson Electric Co | EMR | 154.00% |
| 19 | Prologis Inc | PLD | 153.00% |
| 20 | ConocoPhillips | COP | 153.00% |
| 21 | Tyson Foods Inc | TSN | 145.00% |
| 22 | Canadian Natural Resources Ltd | CNQ | 137.00% |
| 23 | Reliance Inc | RS | 136.00% |
| 24 | Northrop Grumman Corp | NOC | 136.00% |
| 25 | Walt Disney Co/The | DIS | 135.00% |
| 26 | Boeing Co/The | BA | 133.00% |
| 27 | KKR & Co Inc | KKR | 129.00% |
| 28 | UL | 129.00% | |
| 29 | Dick's Sporting Goods Inc | DKS | 128.00% |
| 30 | JAMES HARDIE IND PLC | JHX | 126.00% |
| 31 | PACCAR Inc | PCAR | 125.00% |
| 32 | Kroger Co/The | KR | 124.00% |
| 33 | NVIDIA Corp | NVDA | 122.00% |
| 34 | Tradeweb Markets Inc | TW | 119.00% |
| 35 | Cooper Cos Inc/The | COO | 118.00% |
| 36 | Ally Financial Inc | ALLY | 114.00% |
| 37 | Agilent Technologies Inc | A | 114.00% |
| 38 | Airbnb Inc | ABNB | 113.00% |
| 39 | NXP Semiconductors NV | NXPI | 113.00% |
| 40 | UnitedHealth Group Inc | UNH | 112.00% |
| 41 | HLN | 109.00% | |
| 42 | Exelon Corp | EXC | 107.00% |
| 43 | CACI International Inc | CACI | 103.00% |
| 44 | TransUnion | TRU | 100.00% |
| 45 | Keurig Dr Pepper Inc | KDP | 99.00% |
| 46 | Dynatrace Inc | DT | 98.00% |
| 47 | Cardinal Health Inc | CAH | 98.00% |
| 48 | TTNDY | 97.00% | |
| 49 | Wells Fargo & Co | WFC | 96.00% |
| 50 | Nutrien Ltd | NTR | 96.00% |
Sectors
10.0 This fund is well-diversified across 12 sectors, with no single sector dominating.
| Sector | Weight |
|---|---|
| Financials | 1522.00% |
| Technology | 1286.00% |
| Industrials | 1263.00% |
| Health Care | 1226.00% |
| Energy | 840.00% |
| Consumer Discretionary | 817.00% |
| Communication Services | 710.00% |
| Unknown | 580.00% |
| Consumer Staples | 497.00% |
| Materials | 449.00% |
| Real Estate | 449.00% |
| Utilities | 361.00% |
Regions
5.6 This fund invests across 6 countries, though its geographic allocation deviates somewhat from the global market.
| Country | Weight |
|---|---|
| United States | 8644.00% |
| UNKNOWN | 580.00% |
| Canada | 305.00% |
| Netherlands | 189.00% |
| United Kingdom | 156.00% |
| Australia | 126.00% |
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