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›ETF Providers›Vanguard›VFV
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VFV
CA92205Y1051
Passive ETFEquity

VFV ETF · Vanguard S&P 500 Index ETF

The Vanguard S&P 500 Index ETF (CAD) is a portfolio-managed product that aims to track the performance of the Standard & Poor's 500 Index, a benchmark for large-capitalization U.S. equities. It was launched by the Vanguard Group, a renowned multinational corporation known for offering funds with diversified portfolios. The Vanguard S&P 500 Index ETF operates primarily in Canadian dollars, catering to a specific audience of investors. It adopts a passive management or indexing, investment approach designed to mimic the price and yield performance of the S&P 500 Index. The ETF achieves its aim by investing predominantly in stocks that comprise the index. This exchange-traded fund focuses on providing broad exposure to U.S. equities, encompassing those from various sectors such as technology, healthcare, finance, etc. The fund's goal is to closely replicate the index returns before expenses. The constituents within this fund are noteworthy companies with strong market presence and recognizable names worldwide. In line with its passive investment strategy, this ETF seeks to remain fully invested in its assortment of equities and minimizes rotation within its portfolio. As such, it is a fitting choice for investors seeking cost-effective involvement in the U.S. equity market without bearing extraneous transactional costs arising from constant trading. An advantage of investing in an ETF such as this is that it offers convenient access to a widespread selection of U.S.-listed stocks in one package that can be bought or sold like individual stocks during trading hours. This flexibility, along with its intent to reflect the functioning of a globally acknowledged index, makes it an intriguing investment instrument for many individuals with varying financial aspirations. Ensure you consider all your options and understand their risks as well as expected returns before making any investment decisions.

Last update Today at 4:46 PM UTC
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CLOSED
This fund is part ofUS Large & Mid Cap1M perf.+10.06%
Last price
$175.33
+0.80%
1M perf.
+6.62%
1M flows
+€143M
AuM
€19.03B
TER
0.09%
Rating
ESG Consensus®
esg grade icon
VFV
$175.33
+0.80%

Performance & flows

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February 4, 2026 → May 4, 2026
0-8-6-4-20246%MARAPRMAYMARAPRMAY
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VFV
$173.90
+4.50%
US Large & Mid Cap
+5.20%

Historic performance and flows

1M3M1Y3Y5YMTDQTDYTD
Perf.
+6.62%
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+4.50%
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+26.83%
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+85.34%
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+103.62%
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+0.16%
+8.11%
+4.67%
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Flows

Key fund info

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This ETF's jurisdiction country is not in your region (Europe and Middle East) Â· 
Main characteristics
Issuer
CUSIP
92205Y105
ISIN
CA92205Y1051
AuM
€19.03B
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TER
0.09%
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Replication rating
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ESG Consensus®
esg grade icon
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More details
NAV
5/4/2026
$173.94
1D NAV change
-0.19%
Dividend policy
Replication method
Other
Replication model
ETF based
No. of holdings
503
Inception date
11/2/2012
Jurisdiction
Canada
Distribution
Canada
Legal structure
Open-end Fund
Base currency
CAD
Dividend distribution
Trailing 12-month distr. yield
Distribution frequency
Last distribution
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Classification
Product type
Benchmark
Asset class
Factors
N/A
Investment strategy
The Vanguard S&P 500 Index ETF (CAD-hedged) seeks to track the performance of the S&P 500 Index (CAD-Hedged). This Index is a market capitalization-weighted index that is designed to represent the returns of the S&P500 Index, which is comprised of large capitalization U.S. stocks, with the U.S. dollar exposure of the securities included in the S&P 500 Index hedged to the Canadian dollar. There is a chance that returns from large-capitalization stocks will trail returns from the overall stock market. Large-capitalization stocks tend to go through cycles of doing better - or worse - than the stock market in general. These periods have, in the past, lasted for several years. All major industry sectors are represented in the Index.
Tax optimisation
PEA
France
UK Reporting Status
United Kingdom
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Risk profile

Segment for quartile rank

Historical risk/return profile

3M1Y3Y5Y
Returns
+4.50%
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+26.83%
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+85.34%
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+103.62%
icon
Volatility
Perf./Volatility
Max drawdown
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Synthetic Risk and Reward Indicator (SRRI)
UCITS
N/A
PRIIPS
N/A
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Exposure

To find out more about VFV's exposure, please refer to the as provided by Vanguard.

More risk metrics are available, exclusively in Trackinsight Enterprise

Sustainability

Integrates ESG criteria
No
SDG
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Replication

Trackinsight replication rating:
1-year trailing difference
As of April 30, 2026
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VFV
N/A
Replication quality
Calculated over 12m, as of April 30, 2026
Tracking error
Tracking difference
1-year cumulative return difference
Best
Worst
Daily return difference
Average
Worst
Replication information
Index
Index ticker
Index dividend policy
Replication method
Replication model

Issuer

Vanguard
Vanguard ID Card
Number of funds
297
Total AuM
€4.01T
Expense ratio range
0.03% - 0.48%
Average expense ratio
0.1343%
Top 5 funds by Vanguard
AuM
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Vanguard Total Stock Market ETF€533.72B
VEA
Vanguard FTSE Developed Markets ETF€187.31B
VUG
Vanguard Growth ETF€184.36B
VTV
Vanguard Value ETF€146.75B

Frequently asked questions about VFV

What does Vanguard S&P 500 Index ETF, VFV, invest in?

VFV is a Passive ETF. This ETF provides exposure to Large Cap US Equities.

Which benchmark or index does VFV replicate?

VFV tracks the S&P 500 ( CAD NY Rate ) Net Total Return 30% Index - CAD, through a replication method.

What is the Total Expense ratio (TER) of VFV?

VFV carries a total expense ratio (TER) of 0.09%, indicating the annual cost for holding the fund.

When was VFV launched?

VFV was introduced to the market on November 2, 2012. It trades on Canada

Who is the ETF issuer of VFV?

Vanguard S&P 500 Index ETF, VFV, is provided by Vanguard. Learn more about Vanguard here.

What is the current assets under management (AUM) of VFV?

VFV oversees €19.03B in assets as of May 4, 2026.

How has VFV performed lately?

Based on data from May 4, 2026, VFV returned 6.62% over the past month, 4.50% over the last three months and 4.67% year-to-date.

What are the latest inflows or outflows for VFV?

As of May 4, 2026, VFV recorded net flows of +€142M over the last month and +€897M year-to-date.

Does VFV distribute dividends?

VFV follows a distributing dividend policy, meaning it pays out income to investors. As of May 4, 2026, its 12-month trailing yield was 0.89%.

What are the main country or region exposures of VFV?

As of March 31, 2026, VFV has significant geographic allocations in USA and Ireland.

In which sector or theme does VFV invest in?

As of March 31, 2026, VFV focuses largely on Information Technology, Financials and Communication Services.

How many securities does VFV hold and how diversified is it?

As of March 31, 2026, VFV holds 503 positions in its portfolio, with 42.32% of assets concentrated in its top 15 holdings.

What are the main positions in VFV?

As of March 31, 2026, VFV top three holdings include NVIDIA, APPLE and MICROSOFT-T.

What is the base currency of VFV?

The base currency of VFV is CAD.

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