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Global ETF Survey 2026: Answer now →

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Global ETF Survey 2026

The ETF Industry Is Evolving Fast

From AI infrastructure to active strategies, the ETF landscape is shifting. Share your perspective in the 7th Annual Global ETF Survey.

Global ETF Survey 2026
›ETF Issuers›Vanguard›VTHR
VTHR

Vanguard Russell 3000 ETF

The Vanguard Russell 3000 ETF USD (ticker: VTHR) is a widely recognized, exchange-traded fund that primarily seeks to replicate the performance of the Russell 3000 Index. The principal focal point of this ETF lies in the investment in a wide array of U.S. equity securities indicative of high, mid, and small capitalization companies. Consistent with its underlying index, the ETF comprises more than 98% of the investable U.S. equity market, bringing forth tremendous diversity in terms of industry and company size. It offers exposure to an expansive range of sectors including Healthcare, Information Technology, Financials, Consumer Discretionary, and Industrials among others. This particular ETF proposes an attractive option for investors who are looking for broad-based equity exposure to the U.S. market within their portfolios. Being passively managed, the Vanguard Russell 3000 ETF adheres stringently to its index’s methodology and rebalancing schedule, further endorsing its authentic replication approach. Additionally, it presents an attractive yield-generation opportunity by distributing dividends among its shareholders on a quarterly basis. These dividends typically reflect payout from income generated by the underlying index constituents in any given period. One can trade shares in this exchange-traded fund on U.S. exchanges during regular trading hours. For those discerning investment distributions across numerous asset classes without compromising on equity exposure should find the Vanguard Russell 3000 ETF most beneficial. However please note that investing always comes with risks and it is important to do your own due diligence before making any investment decisions.

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Key risk metrics
Annualized volatility 1Y
12.84%
Perf./Volatility
1.71
Skewness
Excess Kurtosis
Max. drawdown
Length of drawdown (days)
Recovery time (days)
1-day 95% CVaR
1-day 99% CVaR
Synthetic Risk Indicator (SRI)
UCITSN/A
PRIIPSN/A

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Historical drawdowns
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