ETF universe

Explore the funds. Follow the data. Build your shortlist.

ETFs in your universe
2,694
U.S.-listed · all providers
Minimum reported AUM
$100M
Assets under management
Multi-ETF similarity groups
52370 pairs
Supported by return & strategy evidence
Rolling observations
14.93M
1, 3, 5 & 10-year windows

Discover & screen

Use the checkboxes to compare up to four funds.

Returns & risk

3-year rolling returns

Return filters use the selected 3-year rolling windows, annualized. The drawdown filter uses full history. Volatility uses the same 3-year horizon, ending at each fund’s latest stored date; insufficient history shows “—”. Enter 20 for a maximum 20% drawdown loss. Funds missing an active filter’s metric are excluded.

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Compare
VanguardLarge Blend$2.31T0.03%15.47%12.91%11.85%20.30%Retained
VanguardLarge Blend$1.74T0.03%14.92%14.73%13.49%18.75%Preferred
iSharesLarge Blend$883.99B0.03%15.02%12.14%11.42%19.38%Alternative
State Street Investment ManagementLarge Blend$811.94B0.09%15.32%12.64%12.16%19.03%Alternative
VanguardForeign Large Blend$653.03B0.05%15.34%6.66%5.57%24.89%Retained
InvescoLarge Growth$488.98B0.18%20.46%15.19%14.90%22.80%Preferred
VanguardIntermediate Core Bond$399.07B0.03%5.11%2.92%2.80%5.18%Preferred
VanguardLarge Growth$379.42B0.03%19.77%14.60%12.84%22.34%Preferred
VanguardForeign Large Blend$322.77B0.03%15.74%7.42%6.09%25.91%Preferred
VanguardLarge Value$260.86B0.03%12.25%11.52%10.84%17.36%Preferred
VanguardMid-Cap Blend$225.42B0.03%14.72%11.26%10.78%24.63%Preferred
iSharesForeign Large Blend$194.39B0.07%15.24%6.45%5.53%22.73%Retained

Drawdown is the median maximum loss within the selected rolling windows, shown as a positive loss percentage. Returns are annualized rolling medians over each fund’s available history. Use Compare for common-date comparisons. “—” means insufficient or unavailable data.