📉 Live Chart
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📈 1-Year Performance
Normalized to 100 one year ago · weekly close
IVW +19.6%SPY +16.5%
🥧 Sector Weightings
Top sectors
Technology53.5%
Communication Services14.9%
Financial Services9.1%
Consumer Cyclical8.5%
Healthcare6.2%
Industrials5.5%
✍️ marketbrief View
IVW holds only the growth-oriented names within the S&P 500, competing with Vanguard's VUG. Top holdings — Nvidia, Microsoft, Apple — overlap heavily with VUG.
A -12.3% max drawdown is larger than most other large-cap ETFs in this batch, showing the growth index's typical volatility. Given its 0.18% expense ratio versus VUG's 0.03%, VUG is the more cost-efficient choice for long-term holding.
