VOOV vs QQQ: Complete Comparison

Vanguard S&P 500 Value ETF vs Invesco QQQ Trust โ€” overlap, correlation, performance & risk analysis

Holdings Overlap
32.84%
Low Overlap
Shared Holdings
46 of 100
Complete portfolio analysis
Calculation Method
Min Weight
Weighted intersection

Visual Overlap

VOOV
QQQ
32.8%
VOOV Only
Overlap
QQQ Only

Price Performance

Historical price comparison over 3M

VOOV Return
+5.06%
QQQ Return
+17.60%
Winner
QQQ
+12.54%
Max Drawdown
VOOV: -6.3%
QQQ: -11.7%
VOOV Volatility (annualized)10.79%
QQQ Volatility (annualized)18.91%

๐Ÿ“ˆ Comparison

Metric
VOOV
QQQ
1 Year Return
+20.2%
+28.2%โœ“
3 Year Return
+7.5%
+12.5%โœ“
5 Year Return
+12.5%
+20.1%โœ“
Volatility
17.20%โœ“
22.50%
Expense Ratio
0.07%โœ“
0.20%
โš ๏ธ Past performance does not guarantee future results. Data may be delayed.

โš ๏ธRisk Metrics

Metric
VOOV
QQQ
Volatility
17.20%โœ“
22.50%
Sharpe Ratio
0.68
0.88โœ“
Sortino Ratio
0.92
1.22โœ“
Max Drawdown
-36.50%
-35.20%โœ“
Beta
0.90
1.18

Interpretation:

  • ๐Ÿ“Š Lower volatility = smoother ride
  • โšก Higher Sharpe/Sortino = better risk-adjusted returns
  • โš ๏ธ Smaller max drawdown = less worst-case pain
  • ๐Ÿ“ˆ Beta > 1 = more volatile than S&P 500

โš”๏ธ Comparison

12 - 8

๐Ÿ† VOOV wins this comparison

Key Factors

๐Ÿ’ฐ Expense Ratio
VOOV:0.07%โœ“
vs
QQQ:0.20%โœ“
๐ŸŽฏ Number of Holdings
VOOV:390 holdingsโœ“
vs
QQQ:101 holdingsโœ“
๐Ÿ“ˆ 5-Year Return
VOOV:+12.5%โœ“
vs
QQQ:+20.1%โœ“
โ–ถAdditional Metrics (5)
โš–๏ธ Concentration Risk
VOOV: 30.2% in top 10โœ“
QQQ: 49.6% in top 10
๐Ÿ“Š Assets Under Management
VOOV: $8B
QQQ: $220B โœ“โœ“
โšก Sharpe Ratio
VOOV: 0.68
QQQ: 0.88โœ“
๐Ÿ“‰ Volatility
VOOV: 17.2%โœ“
QQQ: 22.5%
๐Ÿ” Uniqueness vs SPY
VOOV: 51.1% uniqueโœ“
QQQ: 48.3% unique

Bottom line: VOOV wins with better expense ratio and number of holdings. Consider VOOV for your portfolio, but QQQ is still a solid choice if you prefer its specific advantages.

Detailed Overlap Analysis

46 shared holdings representing 32.8% portfolio overlap

Top Shared Holdings

#StockVOOV WeightQQQ WeightOverlap
1
AAPL
AAPL
8.29%7.94%7.94%
2
MSFT
MSFT
7.07%7.12%7.07%
3
AMZN
AMZN
3.81%4.87%3.81%
4
AMD
AMD
1.59%1.90%1.59%
5
CSCO
CSCO
1.11%1.67%1.11%
6
MU
MU
0.96%1.75%0.96%
7
AMGN
AMGN
0.35%0.97%0.35%
8
SBUX
SBUX
0.35%0.52%0.35%
9
ADBE
ADBE
0.32%0.80%0.32%
10
MDLZ
MDLZ
0.28%0.38%0.28%

Overlap by Sector

Technology
10 stocks ยท 19.55% overlap
Consumer Discretionary
2 stocks ยท 4.16% overlap
Other
30 stocks ยท 4.14% overlap
Utilities
2 stocks ยท 0.43% overlap
Healthcare
1 stocks ยท 0.35% overlap

Showing top 5 sectors by overlap contribution

46
Shared Stocks
32.8%
Total Overlap
5
Sectors Represented

Top Holdings Only in VOOV

Unique to VOOV

โ†Scroll horizontally to see all dataโ†’
SymbolNameWeight
XOMXOM1.87%
JNJJNJ1.74%
BRK-BBRK-B1.71%
JPMJPM1.41%
BACBAC1.39%

Top Holdings Only in QQQ

Unique to QQQ

โ†Scroll horizontally to see all dataโ†’
SymbolNameWeight
NVDANVDA8.99%
TSLATSLA4.21%
METAMETA3.85%
GOOGLGOOGL3.58%
GOOGGOOG3.35%

Price Correlation

How We Calculate Overlap

We use the minimum weight method with normalization to calculate portfolio overlap:

Overlap = ฮฃ min(weightA, weightB) for each shared holding

Normalization: Holdings weights are normalized to sum to 100% before comparison. This ensures accurate overlap calculations even when analyzing partial holdings data (e.g., top 50 positions).

Conservative approach: We consider only the smaller allocation for each shared position, giving you a realistic view of true portfolio overlap.

๐Ÿ“Š This analysis is based on publicly available holdings data. For the most current and complete holdings information, please visit the official ETF provider websites.

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