ETF Versus

RPV vs VONV

Invesco S&P 500 Pure Value ETF vs Vanguard Russell 1000 Value Index Fund ETF Shares

Last updated: 2026-04-02

RPV

Invesco S&P 500 Pure Value ETF (RPV) is an exchange-traded fund that provides exposure to large-cap U.S. value stocks trading at below-market valuations. It charges an above-average expense ratio of 0.35%. The fund offers a moderate dividend yield of 2.42%. Launched in 2006, the fund has a 20-year track record.

AUM: $1.7B ER: 0.35% Yield: 2.42% Since: Mar 1, 2006

Vanguard Russell 1000 Value Index Fund ETF Shares (VONV) is an exchange-traded fund that provides exposure to large-cap U.S. value stocks trading at below-market valuations. It charges a low expense ratio of 0.06%. The fund offers a moderate dividend yield of 1.81%. Launched in 2010, the fund has a 16-year track record.

AUM: $16.8B ER: 0.06% Yield: 1.81% Since: Sep 20, 2010

Quick Verdict

VONV is significantly cheaper at 0.06% vs 0.35% expense ratio, saving you approximately $570 per $10,000 invested over 10 years. RPV has edged ahead over the past year (16.2% vs 14.3%). Income investors may prefer RPV for its higher yield (2.4% vs 1.8%).

Key Metrics

Metric RPV VONV
Expense Ratio 0.35% 0.06%
Dividend Yield 2.4% 1.8%
Fund Family N/A N/A
Category US Large Cap Value US Large Cap Value

Performance Chart

Indexed to 100 at start (5-year comparison)

85 99 113 127 141 155 2021-04 2022-06 2023-09 2024-12 2026-04
RPV +42.8%
VONV +39.4%

Performance Comparison

Period RPV VONV Difference
1 Month -4.52% -4.56% +0.04%
3 Months +2.52% +1.28% +1.24%
6 Months +6.68% +4.82% +1.86%
YTD +2.52% +1.28% +1.24%
1 Year +16.21% +14.29% +1.92%
3 Years +41.05% +40.36% +0.69%
5 Years +42.82% +39.42% +3.40%

Fee Impact Over Time

Estimated fee cost difference assuming 8% annual returns

Investment Period RPV Fees VONV Fees You Save
$10.000 10 years $690 $120 $570
$10.000 20 years $2.930 $515 $2.415
$10.000 30 years $9.337 $1.664 $7.673
$50.000 10 years $3.448 $598 $2.849
$50.000 30 years $46.685 $8.318 $38.367
$100.000 30 years $93.370 $16.637 $76.734

Risk Metrics

Based on 5 years of daily returns

Metric RPV VONV
Annualized Volatility 18.1% 14.8%
Max Drawdown -24.1% -20.2%
Sharpe Ratio 0.24 0.22

Dividend Comparison

Metric RPV VONV
Annual Dividend (per share) $2.59 $1.71
Dividend Yield 2.42% 1.81%
Distribution Frequency Quarterly Quarterly

Top Holdings

0 of top 9 holdings overlap (0% overlap in top holdings)

RPV Top Holdings

NameWeight
Dow Inc.DOW2.88%
Bunge Global SABG2.74%
LyondellBasell Industries N.V.LYB2.30%
Archer-Daniels-Midland CompanyADM2.19%
The Mosaic CompanyMOS1.95%
Tyson Foods, Inc.TSN1.95%
Ford Motor CompanyF1.70%
General Motors CompanyGM1.70%
The Cigna GroupCI1.64%
Target CorporationTGT1.60%

VONV Top Holdings

NameWeight
Berkshire Hathaway Inc.BRK.B2.90%
JPMorgan Chase & Co.JPM2.39%
Exxon Mobil CorporationXOM2.00%
Johnson & JohnsonJNJ1.86%
Amazon.com, Inc.AMZN1.72%
Alphabet Inc.GOOG1.63%
Walmart Inc.WMT1.56%
Micron Technology, Inc.MU1.43%
The Procter & Gamble CompanyPG1.22%

Which One Should You Choose?

Choose VONV if...

you want the lowest fees and plan to buy and hold long-term. Over decades, the expense ratio difference compounds significantly.

Choose RPV if...

you prioritize dividend income and want higher regular distributions from your portfolio.

Either works if...

you just need broad us large cap value exposure. Both are solid options — pick whichever your brokerage offers commission-free.

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