VVL
Vanguard Global Value Factor ETF

Full VVL fund page
VS
VMO
Vanguard Global Momentum Factor ETF

Full VMO fund page

Vanguard Global Value Factor ETF (VVL) and Vanguard Global Momentum Factor ETF (VMO) offer distinct profiles for Canadian ETF investors. A direct comparison shows that VVL focuses its top 3 sector exposures on Financials, Consumer Discretionary, and Health Care, while VMO leans towards Industrials, Health Care, and Information Technology. When evaluating costs, VVL features a management fee (MER) of 0.35%, compared to 0.35% for VMO. Performance-wise, VVL has returned 7.34% year-to-date with +$100 M in net flows, whereas VMO is at 15.91% with +$63 M. Use the comparison tool below to benchmark these funds across top 10 holdings, yield, sector weights and historical returns.

NAV Performance and Flows

0510%Mar 24Mar 31Apr 8Apr 15Apr 22

Key Data

Historical performance and flows

As of April 24, 2026
1M3MYTD1Y3Y
Perf.
VVL
+5.27%+2.39%+7.34%+38.39%+72.73%
VMO
+10.84%+7.58%+15.91%+49.92%+108.64%
Flows
VVL
+$7 M+$71 M+$100 M+$164 M+$197 M
VMO
+$13 M+$47 M+$63 M+$103 M+$196 M

VVL vs VMO exposure

Countries

VVL
USA
61.55%
Other
38.45%
VMO
USA
56.50%
Other
9.38%
Other
34.12%

Sectors

VVL
Financials
23.97%
Consumer Discretionary
12.94%
Health Care
11.95%
Energy
10.17%
Industrials
9.01%
Materials
7.14%
Other
24.81%
VMO
Industrials
16.47%
Health Care
15.68%
Information Technology
15.32%
Financials
12.84%
Other
12.84%
Materials
7.45%
Other
19.39%
As of April 24, 2026

Top 10 Holdings

VVL
GENERAL MOTORS
0.73%
CVS HEALTH CORP
0.61%
PFIZER
0.58%
HCA HEALTHCARE
0.55%
SHELL PLC
0.53%
VERIZON COMMUNICATIONS
0.52%
GILEAD SCIENCES
0.52%
AT&T
0.51%
BARCLAYS
0.50%
CITIGROUP
0.50%
VMO
MICRON TECHNOLOGY
0.90%
ALPHABET INC-CL
0.88%
APPLOVIN
0.82%
US36828A1016
0.75%
NEWMONT CORP
0.73%
GENERAL ELECTRIC
0.71%
BROADCOM LIMITED
0.69%
US5128073062
0.66%
INTEL-T
0.63%
HOWMET AEROSPACE INC
0.62%

Diversification

VVL
Total weight of top 10 holdings out of 865 total
5.55%
VMO
Total weight of top 10 holdings out of 792 total
7.40%

Characteristics

Compare
VVL
VMO
ProviderVanguardVanguard
ManagementActively managedActively managed
Benchmark--
Replication Method
Asset ClassEquityEquity
Dividend PolicyDistributingDistributing
Trailing 12m distribution yield1.77%0.74%
Meets ESG criteriaNoNo
Inception DateJune 22, 2016June 22, 2016

Frequently asked questions about VVL and VMO

Which ETF has performed better year to date: VVL or VMO?
As of April 24, 2026, VVL has returned 7.34% year to date, while VMO has returned 15.91%. VMO is ahead on YTD performance.
Which ETF is larger by assets under management: VVL or VMO?
As of April 24, 2026, VVL manages $723.99 M in assets, while VMO manages $406.78 M. VVL is the larger fund by AUM.
How are VVL and VMO managed?
VVL is actively managed by Vanguard. It does not track an index. VMO is actively managed by Vanguard. It does not track an index.
What sectors do VVL and VMO emphasize?
VVL is most exposed to Financials, Consumer Discretionary, and Health Care. VMO is most exposed to Industrials, Health Care, and Information Technology.
Which ETF is attracting more investor flows: VVL or VMO?
Year to date, VVL has seen +$100.41 M in net flows, compared with +$63.46 M for VMO. VVL has attracted more net investor money so far.
How do the fees of VVL and VMO compare?
VVL has an expense ratio of 0.38%, while VMO has an expense ratio of 0.38%.
What are the top holdings of VVL and VMO?
VVL's largest holdings include GENERAL MOTORS and CVS HEALTH CORP. VMO's top holdings include ALPHABET INC-CL and MICRON TECHNOLOGY.
Which ETF is more diversified: VVL or VMO?
VVL holds 849 securities, while VMO holds 763. On holdings count, VVL is the more diversified portfolio.

Recent articles about VVL and VMO

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