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VTCAX

Vanguard Communication Services Index Fund Admiral Shares
1W: -2.7% 1M: +0.3% 3M: -0.1% YTD: -2.1% 1Y: +1.7% 3Y: +85.0% 5Y: +35.2%
$96.89
+0.61 (+0.63%)
 
Weekly Expected Move ±3.1%
$90 $93 $96 $99 $102
ETF NASDAQ · AUM $6.2B

Similar ETFs

20 peers by holdings overlap (120 holdings)
FBMPX
Fidelity Select Multimedia Portfolio
58.6%
Shared19 holdings
Total34
AUM$2.8B
Price$143.32
PRMTX
T. Rowe Price Communications & Technology Fund Investor Class
33.8%
Shared13 holdings
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AUM$6.8B
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INPIX
ProFunds Internet UltraSector Fund Investor Class
25.2%
Shared5 holdings
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AUM$214M
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RYLIX
Rydex Leisure Inv
25.0%
Shared22 holdings
Total92
AUM$13M
Price$90.98
RYIIX
Rydex Internet Inv
24.9%
Shared19 holdings
Total83
AUM$43M
Price$182.82
RBCGX
Reynolds Blue Chip Growth Fund
24.2%
Shared7 holdings
Total58
AUM$71M
Price$68.69
GGT
Gabelli Multimedia Trust Inc.
23.3%
Shared50 holdings
Total193
AUM$166M
Price$3.98
LGRRX
Loomis Sayles Growth Fund
21.9%
Shared5 holdings
Total38
AUM$16.6B
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MUNDX
Mundoval
21.9%
Shared3 holdings
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AUM$28M
Price$29.29
FOCPX
Fidelity OTC Portfolio
21.3%
Shared5 holdings
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RYMIX
Rydex Telecommunications Inv
20.6%
Shared19 holdings
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AUM$14M
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FCNTX
Fidelity Contrafund
20.6%
Shared11 holdings
Total339
AUM$192.9B
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USAAX
Victory Growth Fund
19.5%
Shared6 holdings
Total79
AUM$2.4B
Price$42.71
ROGSX
Red Oak Technology Select Fund
18.7%
Shared8 holdings
Total28
AUM$843M
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FXBY
Foxby Corp.
18.6%
Shared3 holdings
Total21
AUM$13M
Price$24.48
TWCIX
American Century Select Fund Investor Class
18.5%
Shared5 holdings
Total54
AUM$6.8B
Price$139.13
HGOAX
The Hartford Growth Opportunities Fund Class A
18.4%
Shared6 holdings
Total47
AUM$7.4B
Price$70.93
FSTCX
Fidelity Select Telecommunications Portfolio
18.2%
Shared24 holdings
Total24
AUM$235M
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APGAX
AB Large Cap Growth Fund Class A
18.1%
Shared4 holdings
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AUM$14.2B
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TWCUX
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17.9%
Shared4 holdings
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AUM$28.0B
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Fundamentals Comparison

ETF AUM Holdings Top 10 Wt P/E P/B P/S ROE Net Margin Div Yield Rev Growth EPS Growth IS Score Piotroski
VTCAX $6.2B 113 72.7% 16.2 5.3 6.7 39.7% 41.3% 1.23% +17.5% +26.9% 43.8 5.8
FBMPX $2.8B 34 79.2% 10.4 3.7 4.5 44.0% 42.7% 0.87% +27.5% +49.3% 49.5 6.0
PRMTX $6.8B 61 56.5% 7.5 2.2 2.6 33.0% 34.6% 1.12% +24.7% +51.4% 59.5 6.4
INPIX $214M 42 45.5% 18.7 5.6 5.2 36.1% 27.7% 0.29% +23.3% +35.1% 63.2 6.0
RYLIX $13M 92 29.9% 15.5 3.8 2.4 23.2% 14.7% 1.58% +11.5% +10.9% 50.7 6.2
RYIIX $43M 83 38.9% 17.2 5.2 4.3 33.7% 24.7% 0.42% +20.7% +36.9% 58.7 6.0
RBCGX $71M 58 62.5% 16.3 5.1 4.8 37.6% 29.6% 0.33% +17.2% +49.4% 57.6 6.2
GGT $166M 193 38.2% 9.1 0.7 0.5 5.8% 4.2% 2.24% +12.9% +22.9% 43.8 5.8
LGRRX $16.6B 38 61.3% 18.0 5.5 5.4 35.9% 29.8% 0.93% +14.9% +29.7% 67.0 6.0
MUNDX $28M 36 66.8% 4.3 1.5 2.0 40.4% 47.3% 1.43% +25.0% +37.4% 58.1 6.4
FOCPX $44.1B 105 61.7% 8.1 4.8 6.4 86.4% 79.0% 0.41% +34.5% +77.8% 64.8 6.3

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms