Components Vanguard Mid-Cap Value ETF - USD

ETF

0LO7

US9229085124

Delayed London S.E. 10:36:52 2024-05-30 EDT 5-day change 1st Jan Change
150.6 USD +3.94% Intraday chart for Vanguard Mid-Cap Value ETF - USD -.--% -.--%

Composition of Vanguard Mid-Cap Value ETF - USD

Weight
106.7 USD -0.35%-0.88%+9.29%1.38%
258.2 USD -0.97%+1.86%+14.83%1.31%
64.35 USD +0.56%+2.62%+12.01%1.30%
18.25 USD -0.65%+1.11%+1.22%1.24%
142.8 USD -0.47%+1.83%-6.05%1.16%
154.7 USD +0.37%-3.92%-11.12%1.16%
78.1 USD -0.84%-0.70%+11.22%1.11%
149.9 USD +0.11%+2.44%+11.40%1.10%
68.93 USD -0.07%-1.26%-7.11%1.07%
201.5 USD -3.32%+1.40%+4.35%1.06%
616.2 USD -1.85%-4.23%+7.46%1.05%
423.9 USD -0.71%-0.65%+11.59%1.04%
113.1 USD -0.75%-4.01%+9.06%1.01%
157.1 USD -2.34%-4.84%+12.21%0.99%
97.13 USD -0.32%-1.55%+8.56%0.99%
155.1 USD +0.04%+0.70%+4.07%0.99%
76.57 USD -0.65%-1.21%+27.47%0.96%
232.5 USD +0.13%-1.25%+13.22%0.94%
31.09 USD -1.71%-1.74%-9.04%0.93%
53.77 USD -1.05%-1.77%-13.15%0.92%
266.5 USD -1.44%-1.98%+11.23%0.92%
51.18 USD -0.78%-3.25%+6.80%0.91%
94.17 USD +0.57%-3.62%-25.85%0.89%
28.29 USD 0.00%-0.28%-11.26%0.89%
90.87 USD +0.29%-0.81%-0.11%0.85%
72.64 USD -0.78%-0.33%+18.79%0.83%
223.2 USD -0.85%-0.47%-1.82%0.82%
76.49 USD -0.65%+0.20%-1.07%0.81%
125.8 USD +1.35%-0.65%-7.47%0.81%
79.66 USD -0.52%-0.44%+3.55%0.81%
106 USD -0.47%-4.73%-25.36%0.80%
50.38 USD -0.28%-3.08%+10.22%0.80%
122 USD -0.27%-2.32%+8.54%0.76%
136 USD -1.44%+0.13%-14.53%0.75%
73.21 USD -0.33%-1.04%+2.41%0.74%
86.9 USD -2.40%+1.48%-6.65%0.73%
35.51 USD -2.58%-2.58%+18.01%0.72%
201.9 USD +0.99%+2.37%+7.84%0.72%
78.86 USD +0.41%-1.24%-6.31%0.72%
97.26 USD -1.91%-3.29%+30.95%0.71%
48.72 USD -2.89%-3.41%+21.10%0.70%
72.73 USD -0.33%-0.03%-1.22%0.70%
129.3 USD +0.06%+0.82%-2.04%0.69%
107.2 USD +0.21%-5.43%-11.92%0.69%
29 USD -0.07%-1.23%-16.59%0.69%
255.3 USD -0.22%-0.08%+5.84%0.67%
100.2 USD -0.41%+1.72%-0.60%0.67%
93.54 USD -2.11%-2.62%-1.62%0.67%
99.47 USD -0.25%-1.37%+23.75%0.65%
114.9 USD -1.43%-0.56%+6.70%0.65%
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ETF Ratings

Description

US9229085124
Total Expense Ratio 0.07%
Asset Class
Sector
Size
Currency
Provider
Underlying CRSP U.S. Mid Cap Value Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2006-08-16
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-05-30 )

AuM (EUR) 15,129 M€
AuM 1M 14,808 M€
AuM 3 months 14,758 M€
AuM 6 months 14,469 M€
AuM 12 months 14,081 M€
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