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SPYV: No Compelling Reason To Buy (NYSEARCA:SPYV)

Thesis

The SPDR® Portfolio S&P 500 Value ETF (NYSEARCA:SPYV) is a passively managed value-oriented fund that selects from the S&P 500 Index (SP500). While it seems to be the only one that does

Data by YCharts

Data by YCharts

Data by YCharts

Data by YCharts

Ticker Maximum Drawdown Standard Deviation Annualized Sharpe
SPYV -53.68% 15.13% 0.41
SPY -50.80% 15.34% 0.41

Data by YCharts

Ticker Maximum Drawdown Standard Deviation Annualized Sharpe Correlation (SPY) Beta (SPY)
SPYV -53.68% 16.31% 0.41 0.96 0.98
VTV -54.78% 16.06% 0.43 0.95 0.96
FTA -57.49% 19.91% 0.37 0.92 1.13
PWV -43.17% 15.41% 0.45 0.93 0.90

Data by YCharts

Ticker Expense Ratio AUM Inception Date
SPYV 0.04% $14.63 B 09/25/2000
VTV 0.04% 151.23 B 01/26/2004
FTA 0.59% 1.22 B 05/08/2007
PWV 0.55% 774.74 M 03/03/2005

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