VTI vs XLP

Both VTI and XLP are ETFs. VTI has a higher 5-year return than XLP (13.98% vs 8.92%). VTI has a lower expense ratio than XLP (0.03% vs 0.13%). Below is the comparison between VTI and XLP.

VTI XLP
Segment Equity: U.S. - Total Market Equity: U.S. Consumer Non-cyclicals
Issuer Vanguard State Street Global Advisors
Net Assets $128.53B $14.58B
Expense Ratio 0.03% 0.13%
Management Style passive (index-based) passive (index-based)
Dividend Yield 1.88% 2.76%
Underlying Index CRSP US Total Market Index S&P Consumer Staples Select Sector Index
YTD Return 16.54% 8.36%
1-Year Return 19.27% 10.94%
3-Year Return 14.11% 9.90%
5-Year Return 13.98% 8.92%
10-Year Return 14.02% 11.91%

VTI description

The Fund seeks to track the performance of a benchmark index that measures the investment return of the overall stock market. The Fund employs an indexing investment approach to track the performance of the CRSP US Total Market Index. The Fund invests by holding a collection of securities that approximates the Index.

VTI performance & returns

YTD Return 16.54%
1-Month Return 8.82%
3-Month Return 7.08%
1-Year Return 19.27%
3-Year Return 14.11%
5-Year Return 13.98%
10-Year Return 14.02%
VTI expense ratio is 0.03%.

VTI holdings

Top 10 Holdings (22.98% of Total Assets)

Name Symbol % Assets
Apple Inc AAPL 5.16%
Microsoft Corp MSFT 4.72%
Amazon.com Inc AMZN 3.98%
Facebook Inc A FB 1.95%
Alphabet Inc A GOOGL 1.50%
Alphabet Inc Class C GOOG 1.41%
Berkshire Hathaway Inc Class B BRK.B 1.16%
Johnson & Johnson JNJ 1.11%
Procter & Gamble Co PG 1.05%
Visa Inc Class A V 0.94%

Other relevant VTI comparisons

You may also want to check out the following VTI comparisons that investors often look for on Finny

Or use Finny Compare Wizard to create a comparison you’d like to see.

XLP description

The Fund seeks to provide investment results that, before expenses, correspond generally to the price and yield performance of the Consumer Staples Select Sector Index. Under normal market conditions, the fund generally invest substantially all, but at least 95%, of its total assets in the securities comprising the Index.

XLP performance & returns

YTD Return 8.36%
1-Month Return 3.95%
3-Month Return 3.27%
1-Year Return 10.94%
3-Year Return 9.90%
5-Year Return 8.92%
10-Year Return 11.91%
XLP expense ratio is 0.13%.

XLP holdings

Top 10 Holdings (72.13% of Total Assets)

Name Symbol % Assets
Procter & Gamble Co PG 17.99%
Walmart Inc WMT 10.15%
Coca-Cola Co KO 9.79%
PepsiCo Inc PEP 9.73%
Costco Wholesale Corp COST 4.92%
Mondelez International Inc Class A MDLZ 4.51%
Philip Morris International Inc PM 4.08%
Colgate-Palmolive Co CL 4.02%
Altria Group Inc MO 3.99%
The Estee Lauder Companies Inc Class A EL 2.95%

Other relevant XLP comparisons

You may also want to check out the following XLP comparisons that investors often look for on Finny

Or use Finny Compare Wizard to create a comparison you’d like to see.

You can check out all comparisons Finny users have looked for here. Feel free to the browse the list and view the comparisons that are of an interest to you.

7-day free trial: Get unlimited comparisons, and stock, ETF and mutual fund analyses for just $15 a month, without ads. Start a free trial. Go ad free!

Follow Us