VOOV vs SCHV

Compare what the funds own and how their adjusted prices behaved. Every result below identifies the observed period and the amount of holdings data represented.

Possible overlap range
45.4–68.5%
Moderate Overlap · low confidence
VOOV holdings coverage
76.9%
353 reported positions · 2025-12-18
SCHV holdings coverage
76.3%
514 reported positions · 2025-12-18
This comparison has low confidence because at least one holdings file is partial. Treat 45.4% as the known minimum, not as the complete overlap.

Reported exposure intersection

VOOV
SCHV
45.4%
VOOV Only
Overlap
SCHV Only

Price Performance

Historical price comparison over 3M

VOOV Return
+9.24%
SCHV Return
+10.78%
Winner
SCHV
+1.54%
Max Drawdown
VOOV: -1.9%
SCHV: -3.4%
VOOV Volatility (annualized)8.46%
SCHV Volatility (annualized)11.80%

Latest adjusted-close observations: VOOV 2026-08-21 · SCHV 2026-08-21.

Comparison

Metric
VOOV
SCHV
1 Year Return
+20.0%
+25.6%
3 Year Return
+16.5%
+18.8%
5 Year Return
+11.9%
+10.9%
Volatility
16.89%
16.95%
Calculated from available adjusted-close observations. Missing periods are shown as N/A. Past performance does not guarantee future results.

⚠️Risk Metrics

Metric
VOOV
SCHV
Volatility
16.89%
16.95%
Sharpe Ratio
0.47
0.44
Sortino Ratio
0.44
0.41
Max Drawdown
-37.31%
-37.12%
Beta
0.87
0.87

Interpretation:

  • Lower volatility = smoother ride
  • Higher Sharpe/Sortino = better risk-adjusted returns
  • Smaller max drawdown = less worst-case pain
  • Beta > 1 = more volatile than S&P 500

Risk metrics use the available common observations, a 4% annual risk-free assumption and SPY as the beta benchmark.

Shared reported holdings

294 positions account for a known minimum overlap of 45.4%.

Top Shared Holdings

#StockVOOV WeightSCHV WeightOverlap
1
XOM
XOM
1.87%1.85%1.85%
2
JNJ
JNJ
1.74%1.77%1.74%
3
BRK-B
BRK-B
1.71%3.31%1.71%
4
JPM
JPM
1.41%3.04%1.41%
5
BAC
BAC
1.39%1.34%1.34%
6
PG
PG
1.35%1.20%1.20%
7
CSCO
CSCO
1.11%1.16%1.11%
8
CVX
CVX
1.16%1.05%1.05%
9
WFC
WFC
1.07%1.05%1.05%
10
KO
KO
1.02%1.00%1.00%

Overlap by Sector

Other
253 stocks · 23.81% overlap
Financials
7 stocks · 5.48% overlap
Healthcare
6 stocks · 4.29% overlap
Energy
6 stocks · 3.74% overlap
Consumer Staples
4 stocks · 2.53% overlap

Showing top 5 sectors by overlap contribution

294
Shared Stocks
45.4%
Total Overlap
5
Sectors Represented

Largest positions reported only in VOOV

Scroll horizontally to see all data
SymbolNameWeight
AAPLAAPL8.29%
MSFTMSFT7.07%
AMZNAMZN3.81%
AMDAMD1.59%
UNHUNH1.18%

Largest positions reported only in SCHV

Scroll horizontally to see all data
SymbolNameWeight
WMTWMT1.86%
ORCLORCL1.35%
HDHD1.26%
IBMIBM1.06%
CATCAT1.02%

Price Correlation

What this report can and cannot establish

Known overlap: for each shared security, we add the smaller reported fund weight. Reported weights remain in their original scale.

Possible overlap: the upper bound adds only the smaller unreported portion. It is uncertainty, not an estimate that the missing positions actually match.

Prices: returns and risk use adjusted-close observations, so distributions and splits are reflected when supplied by the market-data source.

No recommendation: EigenDex does not assign a winner. Costs, tax treatment, liquidity and mandate should be verified with each issuer before acting.