Immutable verification record

VANGUARD DIVIDEND APPRECIATION INDEX FUND

Run 7f35c13d-dab5-4663-b04b-b5d91b2d68a2 · portfolio period 2026-04-30 · captured 2026-07-27T02:24:38.043Z

This is the permanent record of what our July 27, 2026 data run computed for Vanguard Dividend Appreciation Index Fund, and the exact SEC documents every number came from — it exists so anyone can check us.

Current interpretation · methodology 1.5

How to read this prior-run record now

42.0% of this portfolio matches the S&P 500, which costs $10 a year per $100,000 to own outright. This fund charges $70 a year.

This interpretation is computed under the current methodology and is not inserted into the immutable record below.

Cite these figures

Each snippet includes the figure’s source-event date and immutable verification URL.

Best-fit active share

Sensible Investor, “VANGUARD DIVIDEND APPRECIATION INDEX FUND — best-fit active share,” 58.0% versus the S&P 500, fund portfolio as of 2026-04-30; measured against the filed holdings of iShares Core S&P 500 ETF (IVV), as of 2026-03-31. https://sensible-investor.com/registry/vdadx/as-of/7f35c13d-dab5-4663-b04b-b5d91b2d68a2

VDADX filed expense ratio

Sensible Investor, “VANGUARD DIVIDEND APPRECIATION INDEX FUND — filed expense ratio,” 0.07% for VDADX, as of 2026-01-31. https://sensible-investor.com/registry/vdadx/as-of/7f35c13d-dab5-4663-b04b-b5d91b2d68a2

VDADX fee per active unit

Sensible Investor, “VANGUARD DIVIDEND APPRECIATION INDEX FUND — fee per unit of active management,” 0.12% using the VDADX expense ratio as of 2026-01-31 and fund portfolio as of 2026-04-30. https://sensible-investor.com/registry/vdadx/as-of/7f35c13d-dab5-4663-b04b-b5d91b2d68a2

Active share by comparison index

Holdings difference for every comparison calculated in this run.
IndexActive shareHoldings evidenceIdentifier match
the S&P 50058.0%measured against the filed holdings of iShares Core S&P 500 ETF (IVV), as of 2026-03-3195.6%
the Russell 1000 Value index58.8%measured against the filed holdings of iShares Russell 1000 Value ETF (IWD), as of 2026-03-3166.8%
the Russell 1000 index59.3%measured against the filed holdings of iShares Russell 1000 ETF (IWB), as of 2026-03-3198.4%
the total US market60.3%measured against the filed holdings of Vanguard Total Stock Market ETF (VTI), as of 2026-03-31100.0%
the Russell 1000 Growth index67.0%measured against the filed holdings of iShares Russell 1000 Growth ETF (IWF), as of 2026-03-3156.8%
the S&P MidCap 40096.7%measured against the filed holdings of iShares Core S&P Mid-Cap ETF (IJH), as of 2026-03-313.3%
the Russell 2000 index98.9%measured against the filed holdings of iShares Russell 2000 ETF (IWM), as of 2026-03-311.1%
the S&P SmallCap 60099.4%measured against the filed holdings of iShares Core S&P Small-Cap ETF (IJR), as of 2026-03-310.6%

Filed expense ratios by share class

Each fee is tied to its filed SEC source and period.
Share classExpense ratioFiling periodSEC document
VDADX (Vanguard Dividend Appreciation Index Fund)0.07%2026-01-31Open SEC expense filing
VIG (Vanguard Dividend Appreciation Index Fund)0.04%2026-01-31Open SEC expense filing

Match rates

How much of the fund filing could be matched to comparison holdings. A benchmark proxy is not compared with itself.
Fund identifier match95.6%
the S&P 50095.6%
the Russell 1000 Value index66.8%
the Russell 1000 index98.4%
the total US market100.0%
the Russell 1000 Growth index56.8%
the S&P MidCap 4003.3%
the Russell 2000 index1.1%
the S&P SmallCap 6000.6%

Fee-drag windows

Dollar fee drag from licensed return windows; the lowest-cost control class is omitted rather than compared with itself, and missing history remains explicit.
Share classWindowFee dragWindow dates
VDADX10 years$2,4452016-07-25 to 2026-07-24
VDADX20 years$10,6122006-07-24 to 2026-07-24
VDADX30 yearsproxy history begins 2000 — no full 30-year windowProxy history begins 2000-05-19
VIG10 years$1,3992016-07-25 to 2026-07-24
VIG20 years$6,0802006-07-24 to 2026-07-24
VIG30 yearsproxy history begins 2000 — no full 30-year windowProxy history begins 2000-05-19

Check it yourself

  1. Open the fund’s linked SEC holdings filing and, for fees, the linked SEC expense filing in the table above.
  2. Find each security identifier and portfolio weight in the holdings filing, and the net annual operating expense for the relevant share class in its expense filing.
  3. Recalculate the comparison using the active-share formula and portfolio rules.
Raw record (JSON)

Download this record as JSON

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