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Vanguard Total Stock Market ETF (VTI)
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Vanguard Total Stock Market ETF (VTI) Price CAGR:23.15%(TTM)

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The price cagr for Vanguard Total Stock Market ETF (VTI) is +23.15% over the latest trailing 12-month period. The comparable SPY value is +22.92%. Year-to-date price return is +8.14%. Price CAGR uses adjusted close price history and excludes dividends.

The price cagr for Vanguard Total Stock Market ETF (VTI) stock is 23.15% over the past 12 months. The 3 year average growth rate is 19.34% and the 5 year cagr is 10.64%. The price CAGR (Compound Annual Growth Rate) shows how Vanguard Total Stock Market ETF's stock price has grown over various time periods. This measures pure price appreciation without including dividends.

VTI Price CAGR Chart

Vanguard Total Stock Market ETF (VTI)

VTI Price CAGR History

YearStart PriceEnd PriceChange% ChangeCAGR
2025266.69294.11+27.42+10.28%+10.28%
2024217.44266.69+49.25+22.65%+22.65%
2023187.45217.44+29.99+16.00%+16.00%
2022221.36187.45-33.91-15.32%-15.32%
2021153.97221.36+67.39+43.77%+43.77%
2020147.95153.97+6.02+4.07%+4.07%
2019144.42147.95+3.53+2.44%+2.44%
2018125.17144.42+19.25+15.38%+15.38%
2017107.50125.17+17.67+16.44%+16.44%
2016109.78107.50-2.28-2.08%-2.08%
2015101.01109.78+8.77+8.68%+8.68%
201484.00101.01+17.01+20.25%+20.25%
201367.5084.00+16.50+24.44%+24.44%
201266.3767.50+1.13+1.70%+1.70%
201153.9966.37+12.38+22.93%+22.93%
201047.5953.99+6.40+13.45%+13.45%
200968.5547.59-20.96-30.58%-30.58%
200875.1168.55-6.56-8.73%-8.73%
200762.5075.11+12.61+20.18%+20.18%
200658.7162.50+3.79+6.46%+6.46%
200555.1058.71+3.61+6.55%+6.55%
200446.9055.10+8.20+17.48%+17.48%
200348.2946.90-1.39-2.88%-2.88%
200257.4048.29-9.11-15.87%-15.87%

About Vanguard Total Stock Market ETF

This ETF's primary objective is to replicate the performance of the CRSP US Total Market Index. It holds a broadly diversified equity portfolio, encompassing companies of all market capitalizations—large, medium, and small—and balanced across both growth and value investment approaches. Management follows a passive strategy, often employing an index-sampling technique, and the portfolio typically holds minimal cash, maintaining full investment in its assets. The fund's modest operating costs help ensure its net performance closely aligns with the index by minimizing tracking error. A significant portion (75%) of the fund's assets is subject to certain investment constraints. Specifically, it generally cannot acquire more than 10% of any single company's outstanding voting shares, nor can it hold more than 5% of its total assets in any one issuer's securities. However, these concentration limits may be exceeded if necessary to accurately reflect the composition of its benchmark index. Importantly, these restrictions do not apply to investments in U.S. government debt or securities issued by its agencies.

Malvern, PA
Financial Services / Asset Management - Global
Sector
Financial Services
Industry
Asset Management - Global