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Vanguard S&P 500 ETF

Ticker: VOO ISIN: US9229083632
Add to portfolio Portfolio analysis in 2min
ETF Low-cost Tech-heavy
TER
0.00%
Fund size
MXN 598.26B
Top 10
36.5%
Issuer
Vanguard
MXN 12,580.84 0.29%
Price as of 2026-09-25 · MX

Performance by timeframe

Rolling returns
1 Month +4.44%
6 Months +19.60%
1 Year +13.56%
5 Years +10.47% p.a.+64.49%
10 Years +15.42% p.a.+319.13%
Since inception +42.85% p.a.+30,489.10%
Calendar year returns
YTD +12.01%
2025 +1.91%
2024 +53.47%
2023 +10.31%
2022 -22.53%
2021 +33.02%

Key stats

AUM
598.26B
Expense ratio
0.00%
1Y return
13.56%
Volatility (1Y)
11.49%
52-week range
10,119.23 - 11,799.99
Section 1

Fund overview

Fund profile data from fundamentals.

The fund manager employs an indexing investment approach designed to track the performance of the Standard & Poor's 500 Index, a widely recognized benchmark of U.S. stock market performance that is dominated by the stocks of large U.S. companies. The advisor attempts to replicate the target index by investing all, or substantially all, of its assets in the stocks that make up the index, holding each stock in approximately the same proportion as its weighting in the index. The fund is non-diversified.

Category Large Blend
Issuer Vanguard
Domicile Mexico
Section 2

Exposure breakdown

Tech-heavy

Exposure breakdown shows how the fund is allocated across assets, sectors, regions, and size buckets.

Asset allocation

Stock US
99.31%
Stock non-US
0.55%
Other
0.17%

Sectors

Technology
33.62%
Financial Services
12.21%
Communication Services
10.50%
Consumer Cyclicals
10.02%
Healthcare
9.48%
Industrials
8.48%
Consumer Defensive
5.26%
Energy
4.02%

Regions

North America
99.45%
Europe Developed
0.41%
Asia Emerging
0.11%
United Kingdom
0.03%

Market cap mix

Mega
45.64%
Big
35.15%
Medium
18.26%
Small
0.81%
Section 3

Top holdings

Top holdings show which underlying securities drive the fund most.

NVIDIA Corporation
7.58%
Apple Inc
6.67%
Microsoft Corporation
4.92%
Amazon.com Inc
3.64%
Alphabet Inc Class A
3.00%
Broadcom Inc
2.63%
Alphabet Inc Class C
2.40%
Meta Platforms Inc.
2.24%
Tesla Inc
1.87%
Berkshire Hathaway Inc
1.57%
Section 4

Performance & risk

Historical return and risk indicators over fixed windows.

Returns

YTD return 3.76%
1M return 4.44%
6M return 19.60%
1Y return 13.56%
3Y return 22.35%
5Y return 64.49%
10Y return 15.04%

Risk

Volatility (1Y) 11.49%
Volatility (3Y) 11.95%
Sharpe ratio (3Y) 1.03
Beta 0.00
52-week range 10,119.23 - 11,799.99
Section 5

Portfolio characteristics

Fund concentration and composition metrics from source fields.

Overview

Top 10 weight 36.52%
Expense ratio 0.00%
Fund size 598.26B
Turnover 2.00%
Avg. market cap 404.54K

Details

Instrument metadata and source update timestamps.

Symbol VOO
Name Vanguard S&P 500 ETF
Asset type ETF
Exchange MX
Currency MXN
ISIN US9229083632
Country Mexico
Code + exchange VOO.MX
Last price date 2024-11-26
Fundamentals updated 2026-05-14

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