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IVOV

IVOV IVOV

$113.42 -0.91 (-0.80%)
Neutral · +0.11σ

Price chart

Timeframe
Range

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Latest bar · IVOV

Momentum reads · latest daily bar
Last
$113.42
-0.91 (-0.80%)
Mkt cap
$1.5B
Mid-Cap Value
RSI(14)
52.6
neutral
Stochastic %K
67.1
neutral
MFI(14)
66.4
neutral
ADX(14)
12.7
weak trend

Green means room to run, red means stretched — the reads re-read live as you switch the chart's timeframe. MFI(14) is a volume-weighted money-flow read: above 80 = overbought, below 20 = oversold.

Top holdings

TickerName Weight
USFD US Foods Holding Corp 1.29%
SNX TD Synnex Corp 1.15%
RS Reliance Inc 1.09%
PFGC Performance Food Group Co 1.01%
WCC WESCO International Inc 0.97%
ENTG Entegris Inc 0.94%
NLY Annaly Capital Management Inc 0.94%
RRX Regal Rexnord Corp 0.91%
TOL Toll Brothers Inc 0.90%
PNFP Pinnacle Financial Partners Inc 0.87%
Everything else 89.93%

Click any ticker to open its own chart page.

Sector / asset mix

Sector weightings

Financial Services
21.8%
Industrials
19.2%
Consumer Cyclical
13.9%
Technology
10.3%
Realestate
9.5%
Energy
6.3%
Basic Materials
5.7%
Consumer Defensive
4.8%
Utilities
4.0%
Healthcare
3.8%
Communication Services
0.8%

Asset split

Stock
99.6%
Cash
0.2%
Other
0.1%

Fund profile

Expense ratio
0.10%
Total assets (AUM)
$1.49B
Distribution yield
1.61%
Category
Mid-Cap Value
Fund family
Vanguard
Inception
Sep 07, 2010

Expense ratio is the annual cost of holding the fund; distribution yield is what it pays out.

Compare IVOV vs peers

Line IVOV up against up to 4 peers (5 tickers total) across ~30 metrics and get one weighted 0-100 verdict — best in green, worst in red. Peers also overlay on the chart above as rebased % lines, or flip the chart to the 2×2 grid for side-by-side mini charts.

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~30 metrics across Snapshot, OdysseyHQ zone, Valuation, Growth, Quality, Technicals, Sentiment, and Risk — with a weighted score and a one-line read on each.

About IVOV

The target index measures the performance of mid-size value companies in the United States. Under normal circumstances, the fund invests at least 80% of its net assets, plus the amount of any borrowings for investment purposes, in the stocks that make up the target index.