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Logo for ETF Vanguard ESG U.S. Stock ETF

Vanguard ESG U.S. Stock ETF (ESGV)

CBOE Currency in USD
$209.00
+$0.53
+0.25%
Last Update: 18 Jul 2026, 03:18
$13.20bn
Assets Under Management
9.00%
Expense Ratio
0.53%
Forward Dividend Yield
$152.63-$289.19
52 Week Range

ESGV Price Chart

Explore Vanguard ESG U.S. Stock ETF interactive price chart. Choose custom timeframes to analyze ESGV price movements and trends.

ESGV ETF Profile

Key details and information about Vanguard ESG U.S. Stock ETF (ESGV).

Sector Focus

Financial Services

Industry

Asset Management

Inception Date

20 Sept 2018

Country

US

Description

This exchange-traded fund aims to mirror the performance of the FTSE US All Cap Choice Index, which comprises a broad spectrum of large, mid, and small-capitalization U.S. stocks, weighted by their market value. A core principle of the fund is its adherence to strict Environmental, Social, and Governance (ESG) criteria. Consequently, the fund systematically divests from companies engaged in activities deemed inconsistent with these principles. This includes entities involved in adult entertainment, alcohol, tobacco, cannabis, or gambling. It also excludes producers of controversial weapons (such as chemical, biological, cluster munitions, anti-personnel landmines, and nuclear armaments), conventional military weapons, and civilian firearms. Furthermore, companies primarily involved in nuclear power generation or fossil fuel industries (coal, oil, and gas), encompassing all facets from exploration and production to refining and distribution, are omitted. Beyond these specific sector exclusions, the index methodology, determined by FTSE, also screens out companies that do not meet established labor, human rights, environmental, and anti-corruption standards. Additionally, firms failing to satisfy at least two out of three specified diversity benchmarks—namely, having at least one woman on their board, implementing diversity policies, and operating diversity management systems—are also excluded. FTSE employs its proprietary methodologies to assess a company's involvement levels, revenue thresholds from certain activities, and the severity of controversies to apply these exclusions consistently. Operating under a passively managed, full-replication approach, the fund aims to meticulously replicate its target index. For 75% of its total assets, the fund observes specific concentration limitations: it generally avoids purchasing more than 10% of an issuer's outstanding voting securities or allocating more than 5% of its total assets to any single issuer. These restrictions, however, do not apply to U.S. government or agency obligations and may be waived when necessary to maintain alignment with the index composition.

ESGV ETF Performance

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