Any reason for one over the others to hold long term?
SPY seems to be the one talked about more than the others but VOO has well over double the amount of net assets than SPY?
expense ratios: IVV 0.03% VOO 0.04% SPY 0.09%
YTD return: IVV 7.92% VOO 7.94% SPY 7.90%
Yield: IVV 1.37% VOO 1.39% SPY 1.34%
SPY seems to be the one talked about more than the others but VOO has well over double the amount of net assets than SPY?
expense ratios: IVV 0.03% VOO 0.04% SPY 0.09%
YTD return: IVV 7.92% VOO 7.94% SPY 7.90%
Yield: IVV 1.37% VOO 1.39% SPY 1.34%