Vanguard U.S. Minimum Volatility ETF (VFMV)
Vanguard
- Page updated:
- Sep 8, 2026
- Data as of:
- Aug 31, 2026
Fund identity
- Ticker
- VFMV
- Fund name
- Vanguard U.S. Minimum Volatility ETF
- Fund type
- ETF
- Currency
- USD
- Domicile
- US
- Inception
- Feb 13, 2018
Structure and strategy
- Sponsor
- Vanguard
- Management approach
- Active
- Strategy
- Actively constructs a U.S. equity portfolio designed to minimize volatility relative to the broad market.
- Portfolio scope
- U.S. equities combined to target lower portfolio volatility
- Portfolio implementation
- Active quantitative portfolio construction
- Asset class
- Equity
- Category
- U.S. Minimum Volatility
Minimum-volatility strategy does not eliminate market risk or guarantee lower losses. Comparison index: Russell 3000 Index. The fund does not track this index.
Costs and minimums
- Net expense ratio
- 0.13%
- Expense ratio
- 0.13%
- Ongoing fee as of
- Mar 27, 2026
Size and distributions
- Assets under management
- $456.4M
- Assets under management scope
- Fund
- SEC 30-day yield
- 1.49%
- Reported holdings count
- 203
Sources
- VFMV issuer disclosure — Vanguard · data as of Sep 7, 2026
Learn the basics
ROIStreet publishes this reference data for education and research. Figures are as of the dates shown, are not real-time quotes, and are not investment advice. Verify details with the issuer or provider before acting.
