ETF Versus

VO vs VYM

Vanguard Mid-Cap Index Fund ETF Shares vs Vanguard High Dividend Yield Index Fund ETF Shares

Last updated: 2026-04-02

VO Vanguard

Vanguard Mid-Cap Index Fund ETF Shares (VO) is an exchange-traded fund issued by Vanguard that provides exposure to mid-cap U.S. companies balancing growth potential and stability. It charges a very low expense ratio of 0.03%. The fund offers a moderate dividend yield of 1.50%. Launched in 2004, the fund has a 22-year track record.

AUM: $90.7B ER: 0.03% Yield: 1.50% Since: Jan 26, 2004
VYM Vanguard

Vanguard High Dividend Yield Index Fund ETF Shares (VYM) is an exchange-traded fund issued by Vanguard that provides exposure to U.S. dividend-paying stocks selected for yield or dividend growth. It charges a very low expense ratio of 0.04%. The fund offers a moderate dividend yield of 2.37%. Launched in 2006, the fund has a 20-year track record.

AUM: $71.3B ER: 0.04% Yield: 2.37% Since: Nov 10, 2006

Quick Verdict

Both funds have nearly identical expense ratios (0.03% vs 0.04%), so fees are not a differentiator here. VYM has edged ahead over the past year (15.0% vs 11.4%). Income investors may prefer VYM for its higher yield (2.4% vs 1.5%).

Key Metrics

Metric VO VYM
Expense Ratio 0.03% 0.04%
Dividend Yield 1.5% 2.4%
Fund Family Vanguard Vanguard
Category US Mid Cap US Dividend

Performance Chart

Indexed to 100 at start (5-year comparison)

80 95 110 125 140 155 2021-04 2022-06 2023-09 2024-12 2026-04
VO +27.8%
VYM +44.6%

Performance Comparison

Period VO VYM Difference
1 Month -5.54% -4.59% -0.95%
3 Months -1.24% +2.20% -3.44%
6 Months -2.10% +4.52% -6.62%
YTD -1.24% +2.20% -3.44%
1 Year +11.38% +14.98% -3.60%
3 Years +37.24% +39.18% -1.94%
5 Years +27.84% +44.55% -16.71%

Fee Impact Over Time

Estimated fee cost difference assuming 8% annual returns

Investment Period VO Fees VYM Fees You Save
$10.000 10 years $60 $80 $20
$10.000 20 years $258 $344 $86
$10.000 30 years $835 $1.112 $277
$50.000 10 years $299 $399 $100
$50.000 30 years $4.176 $5.560 $1.385
$100.000 30 years $8.352 $11.121 $2.769

Risk Metrics

Based on 5 years of daily returns

Metric VO VYM
Annualized Volatility 17.6% 14.0%
Max Drawdown -28.6% -17.5%
Sharpe Ratio 0.11 0.28

Dividend Comparison

Metric VO VYM
Annual Dividend (per share) $4.33 $3.51
Dividend Yield 1.50% 2.37%
Distribution Frequency Quarterly Quarterly

Top Holdings

0 of top 10 holdings overlap (0% overlap in top holdings)

VO Top Holdings

NameWeight
Newmont CorporationNEM1.46%
Corning IncorporatedGLW1.20%
Howmet Aerospace Inc.HWM1.09%
Constellation Energy CorporationCEG1.06%
Vertiv Holdings CoVRT0.99%
Western Digital CorporationWDC0.99%
Seagate Technology Holdings plcSTX0.90%
Quanta Services, Inc.PWR0.87%
Cummins Inc.CMI0.83%
CRH plcCRH0.83%

VYM Top Holdings

NameWeight
Broadcom Inc.AVGO6.48%
JPMorgan Chase & Co.JPM3.36%
Exxon Mobil CorporationXOM2.83%
Johnson & JohnsonJNJ2.63%
Walmart Inc.WMT2.44%
AbbVie Inc.ABBV1.81%
The Procter & Gamble CompanyPG1.72%
The Home Depot, Inc.HD1.66%
Chevron CorporationCVX1.54%
Caterpillar Inc.CAT1.51%

Which One Should You Choose?

Choose VYM if...

recent performance momentum matters to your strategy. Note that past performance doesn't guarantee future results.

Choose VYM if...

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

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