VV vs CAPE

Both CAPE and VV are ETFs. Below is the comparison between CAPE and VV.

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CAPE VV
Security Type ETF ETF
Category Large Blend N/A
Family Barclays Capital Vanguard
Net Assets $206.40M N/A
Expense Ratio 0.65% N/A
Management Style passive (index-based) passive (index-based)
Dividend Yield N/A N/A
Underlying Index The Shiller Barclays CAPE US Core Sector Index CRSP US Large Cap Index
YTD Return 0.00% N/A
1-Year Return 0.00% N/A
3-Year Return 0.00% N/A
5-Year Return 0.00% N/A
10-Year Return 0.00% N/A

CAPE

CAPE description

DoubleLine ETF Trust - DoubleLine Shiller CAPE U.S. Equities ETF is an exchange traded fund launched and managed by DoubleLine ETF Adviser LP. It invests in public equity markets of the United States. The fund invests directly and through other funds in stocks of companies operating across diversified sectors. The fund invests in value and momentum stocks of companies across diversified market capitalization. It seeks to benchmark the performance of its portfolio against the S&P 500 Index. DoubleLine ETF Trust - DoubleLine Shiller CAPE U.S. Equities ETF was formed on March 31, 2022 and is domiciled in the United States.​

CAPE performance & returns

YTD Return 0.00%
1-Month Return 2.23%
3-Month Return -4.60%
1-Year Return 0.00%
3-Year Return 0.00%
5-Year Return 0.00%
10-Year Return 0.00%
CAPE expense ratio is 0.65%.

CAPE holdings

Top 10 Holdings (0.00% of Total Assets)

Name Symbol % Assets

CAPE pros

None that we could think of.

CAPE cons

None that we could think of.

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VV

VV description

Vanguard Index Funds - Vanguard Large-Cap ETF is an exchange traded fund launched and managed by The Vanguard Group, Inc. It invests in public equity markets of the United States. It invests in stocks of companies operating across diversified sectors. The fund invests in growth and value stocks of large-cap companies. The fund seeks to track the performance of the CRSP US Large Cap Index, by using full replication technique. Vanguard Index Funds - Vanguard Large-Cap ETF was formed on January 27, 2004 and is domiciled in the United States.

VV performance & returns

YTD Return N/A
1-Month Return N/A
3-Month Return N/A
1-Year Return N/A
3-Year Return N/A
5-Year Return N/A
10-Year Return N/A
VV expense ratio is N/A.

VV holdings

Top 10 Holdings (26.00% of Total Assets)

Name Symbol % Assets
Apple Inc AAPL 5.70%
Microsoft Corp MSFT 5.35%
Amazon.com Inc AMZN 3.87%
Facebook Inc Class A FB 2.19%
Alphabet Inc Class A GOOGL 1.93%
Alphabet Inc Class C GOOG 1.81%
Tesla Inc TSLA 1.37%
Berkshire Hathaway Inc Class B BRK.B 1.30%
JPMorgan Chase & Co JPM 1.24%
NVIDIA Corp NVDA 1.24%

VV pros

The following are VV strengths from our perspective:

  • VV 5-year return is 11.51%, which is higher than the 5-year return of the benchmark index (S&P 500 TR USD), 10.51%.
  • VV 10-year return is 12.37%, which is in line with the 10-year return of the benchmark index (S&P 500 TR USD), 12.76%.
  • VV 15-year return is 8.21%, which is higher than the 15-year return of the benchmark index (S&P 500 TR USD), 8.17%.

VV cons

The following are VV weaknesses from our perspective:

  • VV net assets are $0.00 million. This fund is not a popular choice with retail investors.
  • VV 3-year return is 8.04%, which is lower than the 3-year return of the benchmark index (S&P 500 TR USD), 10.12%.

Other relevant VV comparisons

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

Or use Finny's Comparison Tool 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.