VYM vs VGT ETF Comparison

Compare VYM and VGT side-by-side — including expense ratio, yield, holdings count, index exposure, and portfolio overlap analysis.

Key Differences

Feature VYM VGT
Expense Ratio 0.04% 0.09%
Dividend Yield 2.3% 0.4%
Holdings 450+ 300+
Index Tracked FTSE High Dividend Yield Index MSCI US Investable Market Information Technology 25/50 Index
Inception Date 2006-11-10 2004-01-26

VYM vs VGT: Which Is Better?

VYM and VGT are both widely used by ETF investors, but they serve different portfolio roles depending on diversification goals, sector exposure, and long-term strategy.

VYM is designed for investors seeking high dividend yield US companies exposure and tracks FTSE High Dividend Yield Index. It is commonly used in portfolios focused on us large cap value allocations.

VGT is designed for investors seeking US information technology sector exposure and tracks MSCI US Investable Market Information Technology 25/50 Index. It is commonly used in portfolios focused on technology allocations.

Portfolio Overlap

Understanding how much VYM and VGT overlap in their underlying holdings is key to evaluating whether combining them adds diversification or creates redundancy in your portfolio.

Analyze VYM vs VGT overlap

Explore More Tools

📊

Overlap Calculator

See exactly which holdings VYM and VGT share and the weighted overlap percentage.

Analyze overlap
🔎

Research VYM & VGT

Research ETF returns, holdings, sector and country exposure, and the latest ETF-related news.

Research VYM Research VGT
Premium
🎯

Portfolio Builder

Generate a diversified ETF portfolio based on your goals, risk tolerance, and investment timeline.

See how it works

Related ETF Comparisons

Analyze Your ETF Portfolio

Compare holdings, detect overlap, and optimize diversification — completely free.

Launch Overlap Analyzer