SPYV vs VIG — stock comparison tool

SPYV currently yields 1.71% TTM versus VIG at 1.54%. Use the calculator below to compare DRIP total returns and fundamentals side by side.

SPYVVIG
Performance Comparison
Total return with dividends reinvested (DRIP) from a $10,000 start — price + income.
SPYV
VIG

*Total Return = DRIP (price + reinvested dividends). Range: 2025-10-09 to 2026-10-09. Legend ordered low → high.

Chart metrics: Total Return (%) · Price Return (%) · Portfolio Value ($) · Stock Price · Dividends (Annual) · Dividend Growth (%). Market Cap history is not available yet.

Calendar-year total returns

Side-by-side yearly performance for each ticker (adjusted close ≈ total return)

SPYV Total Returns by Year
Calendar-year total returns, including reinvested dividends
Adj. close

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VIG Total Returns by Year
Calendar-year total returns, including reinvested dividends
Adj. close

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Best Total Return

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No data

Highest Dividend Income

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Best Avg Annual Return

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DRIP Simulation Summary
$10,000 initial investment with DRIP (live)
TickerPeriodStart $End $DividendsStart PriceEnd PriceSharesReturn %
Current Data Comparison
Live fundamental metrics and analyst data
Metric
SPYV$61.80
—

State Street SPDR Portfolio S&P 500 Value ETF

VIG$236.99
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Vanguard Dividend Appreciation ETF

Dividend Information

Dividend Yield
1.71%
1.54%
Annual Dividend
$1.06
$3.65
Dividend Growth (5yr)
-
-
Years of Growth
0
12
ETF holdings & allocation
Side-by-side composition for each ETF in this comparison.

SPYV

435 holdings
Technology21.07%
Financial Services15.62%
Healthcare12.94%
Industrials10.38%
Consumer Cyclical10.26%
Consumer Defensive8.55%
Energy7.64%
Utilities3.96%
Basic Materials3.24%
Real Estate3.23%
Communication Services3.11%
Cash & Others0.00%

Top 10 holdings

NameWeight
AAPLAPPLE INC7.90%
AMZNAMAZON.COM INC3.88%
XOMEXXONMOBIL HOLDINGS CORP2.25%
WMTWALMART INC1.54%
INTCINTEL CORP1.47%
COSTCOSTCO WHOLESALE CORP1.36%
BACBANK OF AMERICA CORP1.35%
CVXCHEVRON CORP1.31%
TSLATESLA INC1.26%
MRKMERCK + CO. INC.1.24%
Top 1023.58%

VIG

338 holdings
Technology26.31%
Financial Services21.84%
Healthcare18.32%
Industrials10.87%
Consumer Defensive8.98%
Consumer Cyclical4.22%
Energy3.47%
Basic Materials3.23%
Utilities2.73%
Communication Services0.54%
Cash & Others0.03%

Top 10 holdings

NameWeight
AVGOBroadcom Inc4.62%
AAPLApple Inc4.44%
MSFTMicrosoft Corp4.33%
JPMJPMorgan Chase & Co4.06%
LLYEli Lilly & Co3.92%
XOMExxonMobil Holdings Corp2.78%
JNJJohnson & Johnson2.66%
7DZ.DEExxonMobil Holdings Corp2.46%
VVisa Inc2.44%
WMTWalmart Inc2.10%
Top 1033.79%

Overlap & differences

Ticker overlap by weight, sector tilts, and where one fund is overweight. Open full tool

485248
SPYVSharedVIG

Overlap by weight

36%

Share of portfolio weight that appears in both funds.

# overlapping holdings

52

SPYV: 52% also in VIGVIG: 52% also in SPYV

SPYV: showing top 100 holdings by weight (of 435) · VIG: showing top 100 holdings by weight (of 338). Overlap counts use this top slice, not the full fund book.

Sector drift (SPYV vs VIG)

Left = heavier in SPYV. Right = heavier in VIG.

SPYV overweight (left)VIG overweight (right)
52 shown

Overlapping tickers

AAPL
7.9%4.4%4.4%
XOM
2.3%2.8%2.3%
WMT
1.5%2.1%1.5%
COST
1.4%1.8%1.4%
BAC
1.4%1.7%1.4%
MRK
1.2%1.4%1.2%
UNH
1.2%1.6%1.2%
PG
1.1%1.4%1.1%
HD
1.0%1.4%1.0%
JPM
1.0%4.1%1.0%

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SPYV vs VIG Dividend Comparison | DRIP Tool | Dividend Wealth