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SPY vs VOOG: Performance & Backtest Comparison

VOOG delivered the higher return - 16.13% CAGR vs 14.37% - over 2010-10-31 → 2026-07-31.

Growth comparison

Drawdown

Annual returns

SPYVOOG
NameState Street SPDR S&P 500 ETF TrustVanguard S&P 500 Growth ETF
CAGR14.37%16.13%
Total return737.97%966.95%
Volatility14.12%15.53%
Max drawdown-23.93%Sep 2022-30.47%Sep 2022
Sharpe0.920.95
Sortino1.341.42
Best year32.31%35.89%
Worst year-18.17%-29.48%
Final balance$83,797$106,695

Correlation of monthly returns: 0.96. Wondering if you need both? Check their fund overlap →

All figures are total returns: every dividend and distribution is reinvested on its ex-date, and prices are split-adjusted. See the methodology.

Which has performed better, SPY or VOOG?

Over 2010-10-31 to 2026-07-31, VOOG performed better: 16.13% annualized versus 14.37% for SPY, with dividends reinvested. Past performance does not guarantee future results.

How similar are SPY and VOOG?

Their monthly returns have a correlation of 0.96 over the common period. SPY is State Street SPDR S&P 500 ETF Trust; VOOG is Vanguard S&P 500 Growth ETF.

Which is riskier, SPY or VOOG?

Over the common period SPY had 14.12% annualized volatility and a -23.93% max drawdown, versus 15.53% and -30.47% for VOOG.