Disclaimer: The TipRanks Smart Score performance is based on backtested results. Backtested performance is not an indicator of future actual results. The results reflect performance of a strategy not historically offered to investors and does not represent returns that any investor actually attained. Backtested results are calculated by the retroactive application of a model constructed on the basis of historical data and based on assumptions integral to the model which may or may not be testable and are subject to losses. General assumptions include: XYZ firm would have been able to purchase the securities recommended by the model and the markets were sufficiently liquid to permit all trading. Changes in these assumptions may have a material impact on the backtested returns presented. Certain assumptions have been made for modeling purposes and are unlikely to be realized. No representations and warranties are made as to the reasonableness of the assumptions. This information is provided for illustrative purposes only. Backtested performance is developed with the benefit of hindsight and has inherent limitations. Specifically, backtested results do not reflect actual trading or the effect of material economic and market factors on the decision-making process. Since trades have not actually been executed, results may have under- or over-compensated for the impact, if any, of certain market factors, such as lack of liquidity, and may not reflect the impact that certain economic or market factors may have had on the decision-making process. Further, backtesting allows the security selection methodology to be adjusted until past returns are maximized. Actual performance may differ significantly from backtested performance. Backtested results are adjusted to reflect the reinvestment of dividends and other income and, except where otherwise indicated, are presented gross-of fees and do not include the effect of backtested transaction costs, management fees, performance fees or expenses, if applicable. Please note all regulatory considerations regarding the presentation of fees must be taken into account. No cash balance or cash flow is included in the calculation.
FAQs
Vanguard Dividend Appreciation ETF (VIG) Stock Forecast, Price Targets & Predictions - TipRanks.com? ›
VIG 12 Month Forecast
Is the VIG a buy sell or hold? ›VIG Signals & Forecast
The Vanguard Dividend Appreciation Index ETF holds buy signals from both short and long-term Moving Averages giving a positive forecast for the stock.
Is VIGI a Buy, Sell or Hold? VIGI has a consensus rating of Moderate Buy which is based on 121 buy ratings, 211 hold ratings and 5 sell ratings.
How often does VIG pay dividends? ›VIG Dividend Information
VIG has a dividend yield of 1.71% and paid $3.35 per share in the past year. The dividend is paid every three months and the last ex-dividend date was Jun 28, 2024.
Period | VIG Return | Category Return Low |
---|---|---|
YTD | 12.8% | -2.6% |
1 Yr | 20.3% | 3.5% |
3 Yr | 7.9%* | -13.5% |
5 Yr | 11.8%* | -9.1% |
3 Years | 10 Years | |
---|---|---|
R-squared | 90.45 | 94.8 |
Standard Deviation | 16.01 | 15.48 |
Sharpe Ratio | 0.37 | 0.67 |
Treynor Ratio | 5.66 | 9.89 |
Is VIG or SCHD Better? VIG is a suitable investment for investors who are looking for exposure to U.S. equities with a focus on dividend growth. SCHD can be attractive to investors who prioritize generating income from their investments with above-average yields.
What is the difference between VIGI and vymi? ›Whereas VYMI focuses on high dividend stocks, VIGI focuses on dividend appreciation, however. VIGI tracks the S&P Global Ex-U.S. Dividend Growers Index, which focuses on stocks from developed and emerging markets.
Is Lazard a buy or sell? ›Out of 5 analysts, 1 (20%) are recommending LAZ as a Strong Buy, 1 (20%) are recommending LAZ as a Buy, 2 (40%) are recommending LAZ as a Hold, 0 (0%) are recommending LAZ as a Sell, and 1 (20%) are recommending LAZ as a Strong Sell. If you're new to stock investing, here's how to buy Lazard stock.
Is FICO stock a buy or sell? ›Fair Isaac Stock Forecast FAQ
Out of 9 analysts, 2 (22.22%) are recommending FICO as a Strong Buy, 4 (44.44%) are recommending FICO as a Buy, 3 (33.33%) are recommending FICO as a Hold, 0 (0%) are recommending FICO as a Sell, and 0 (0%) are recommending FICO as a Strong Sell.
What is the best Vanguard dividend ETF? ›
The Vanguard Dividend Appreciation ETF (VIG 0.52%) is the largest ETF of the three discussed here in terms of total fund assets. It is also the cheapest to invest in, with a rock-bottom 0.06% expense ratio.
Which ETF has the highest dividend? ›Symbol | Name | Dividend Yield |
---|---|---|
AMDY | YieldMax AMD Option Income Strategy ETF | 77.89% |
MSTY | YieldMax MSTR Option Income Strategy ETF | 75.00% |
TSL | GraniteShares 1.25x Long Tesla Daily ETF | 72.05% |
AIYY | YieldMax AI Option Income Strategy ETF | 67.85% |
VIG Dividend: 0.8992 for June 28, 2024.
Is VIG a good stock to buy? ›VIG has a consensus rating of Moderate Buy which is based on 225 buy ratings, 104 hold ratings and 12 sell ratings.
What is the rating of the Vanguard VIG? ›VUG has a consensus rating of Strong Buy which is based on 162 buy ratings, 27 hold ratings and 1 sell ratings. What is VUG's price target? The average price target for VUG is $433.30. This is based on 190 Wall Streets Analysts 12-month price targets, issued in the past 3 months.
What companies are in VIG ETF? ›Ticker | Holdings | % of fund |
---|---|---|
XOM | Exxon Mobil Corp. | 2.98 % |
UNH | UnitedHealth Group Inc. | 2.94 % |
V | Visa Inc. Class A | 2.22 % |
MA | Mastercard Inc. Class A | 2.12 % |
At this time, the etf appears to be undervalued. Vanguard Dividend has a current Real Value of $204.7 per share. The regular price of the etf is $196.09.
Is VIG a good index fund? ›Summary. VIG is the largest dividend growth ETF in the market. The fund is cheap, simple, and effective, although not particularly strong in any one area.
Is Schwab a buy sell or hold? ›Charles Schwab stock has received a consensus rating of buy. The average rating score is and is based on 60 buy ratings, 36 hold ratings, and 4 sell ratings. What was the 52-week low for Charles Schwab stock? The low in the last 52 weeks of Charles Schwab stock was 48.66.
Is a schd a buy or sell? ›SCHD has a consensus rating of Moderate Buy which is based on 51 buy ratings, 43 hold ratings and 7 sell ratings.