AVUV vs VYM: 2% overlap

Avantis U.S. Small Cap Value ETF and Vanguard High Dividend Yield ETF share 2.5% of their portfolios by weight — computed as Σ min(wA, wB) over every holding both funds own.

Different holding dates. These holdings were published about 4 months apart — AVUV as of 2026-02-28, the rest through 2026-06-30. Each fund is compared using its most recent file, so any trading in between shows up as a difference.

Hold both, 50/50
2.0Effective Funds

You would hold two tickers and get the diversification of 2.0. Two funds that shared nothing would score 2.0; two identical funds score 1.0.

Overlap
2.5%
AVUV expense ratio
0.25%
VYM expense ratio
0.04%

Top shared holdings

AVUV and VYM hold 141 of the same securities. The ten contributing most to the overlap figure:

Holdingin AVUVin VYMΔ
CASH0.3%0.5%0.2%
AMKR0.3%0.0%0.2%
BPOP0.1%0.0%0.1%
UMBF0.1%0.0%0.1%
ZION0.1%0.0%0.0%
R0.6%0.0%0.6%
COLB0.5%0.0%0.4%
TEX0.7%0.0%0.6%
AXS0.3%0.0%0.3%
AM0.1%0.0%0.0%

Where AVUV and VYM differ

Sector weights as a share of each fund, ordered by the size of the gap rather than the size of the sector — two funds that overlap heavily still usually diverge somewhere.

SectorAVUVVYMΔ
Information Technology5.4%16.7%11.3pp
Consumer Discretionary16.9%6.4%+10.5pp
Health Care3.5%13.1%9.6pp
Energy16.8%8.5%+8.3pp
Utilities0.9%5.7%4.8pp
Consumer Staples3.8%8.0%4.3pp
Industrials17.3%13.2%+4.1pp
Unclassified3.5%0.0%+3.5pp

Δ is AVUV minus VYM, in percentage points. Sector data is not published by every issuer, so “Unclassified” is a real category rather than a gap in the table.

What each fund holds alone

Only in AVUV
633 positions

58.5% of AVUV by weight, held in no part of VYM.

Only in VYM
465 positions

97.2% of VYM by weight, held in no part of AVUV.

A large count with a small weight is the usual shape: the positions one fund adds are typically its smallest ones.

Concentration and cost

AVUVVYM
Top 10 holdings8.5%26.0%
Positions held774606
Cost per $10,000 held, per year$25$4

Cost is the expense ratio applied to $10,000; it excludes any brokerage commission, bid-ask spread or tax consequence. Figures are facts about the funds, not a suggestion about which to hold.

Frequently asked

How much do AVUV and VYM overlap?

AVUV and VYM overlap 2.5% by portfolio weight — largely distinct portfolios. They share 141 holdings. The figure comes from current issuer holdings files (AVUV as of 2026-02-28, VYM as of 2026-06-30).

How is the overlap between AVUV and VYM calculated?

As the sum of the smaller weight in each fund, over every holding both funds own: Σ min(wA, wB). If AVUV holds a stock at 6% and VYM holds the same stock at 4%, 4% counts as shared. The result is bounded between 0% and 100%, and it is computed after looking through any fund-of-funds to the underlying holdings.

Is it redundant to hold both AVUV and VYM?

That depends on your goals — we state facts, not advice. At 2.5% overlap, each fund still contributes meaningfully distinct exposure.

What does AVUV own that VYM doesn't?

AVUV holds 774 positions and VYM holds 606; 633 of AVUV's positions don't appear in VYM at all, and they are 58.5% of AVUV by weight.

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Sources: issuer holdings files, AVUV as of 2026-02-28, VYM as of 2026-06-30. Weights are fractions of each fund. Diagnostics, not advice.