Markets · Trailing Returns

Markets today.

Trailing returns across major indices, bonds, and gold — from year-to-date through 10 years.

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Markets · trailing returns

Markets today.

As of Sep 21, 2026

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YTD+12.57%
1D+0.13%
1M-0.71%
1Y+16.57%
3Y+21.20%
5Y+13.04%
10Y+15.38%
20Y+11.17%
YTD+8.52%
1D-0.25%
1M-3.14%
1Y+13.48%
3Y+16.07%
5Y+10.23%
10Y+13.17%
20Y+10.16%
YTD+17.72%
1D+0.63%
1M+0.75%
1Y+21.77%
3Y+25.51%
5Y+14.74%
10Y+20.74%
20Y+16.44%
RSP
S&P 500 Equal Weight
YTD+11.72%
1D-0.48%
1M-4.40%
1Y+13.85%
3Y+14.83%
5Y+8.55%
10Y+11.84%
20Y+9.91%
YTD+9.40%
1D+0.36%
1M+0.93%
1Y+12.34%
3Y+23.99%
5Y+12.57%
10Y+17.92%
20Y+13.25%
YTD+17.07%
1D-0.24%
1M-2.51%
1Y+21.56%
3Y+18.19%
5Y+12.56%
10Y+12.67%
20Y+9.26%
YTD+11.45%
1D-0.31%
1M-4.98%
1Y+11.77%
3Y+14.14%
5Y+8.01%
10Y+10.81%
20Y+9.79%
YTD+16.19%
1D-0.47%
1M-5.59%
1Y+17.21%
3Y+17.40%
5Y+6.39%
10Y+10.24%
20Y+8.52%
YTD+12.66%
1D+0.02%
1M-1.20%
1Y+16.08%
3Y+20.89%
5Y+11.95%
10Y+14.89%
20Y+11.11%
YTD+11.03%
1D-1.01%
1M-2.50%
1Y+16.28%
3Y+17.49%
5Y+8.85%
10Y+9.39%
20Y+5.40%
YTD+23.13%
1D+0.18%
1M+1.39%
1Y+28.62%
3Y+22.59%
5Y+7.99%
10Y+8.62%
20Y+5.84%
YTD-1.32%
1D-0.38%
1M-1.56%
1Y-0.43%
3Y+4.00%
5Y-0.51%
10Y+1.31%
20Y+2.97%
YTD+1.23%
1D+0.71%
1M-3.06%
1Y+19.53%
3Y+30.77%
5Y+19.62%
10Y+12.36%
20Y+10.13%
IEF
10-Year Treasury
YTD-3.04%
1D-0.49%
1M-2.41%
1Y-2.35%
3Y+2.87%
5Y-1.95%
10Y+0.33%
20Y+3.15%

3Y / 5Y / 10Y / 20Y are annualized · ETF proxies for major indices · data via Tiingo

Inside the ETFs

Top 10 holdings by market cap.

The largest constituents of each index ETF. Refreshed quarterly from issuer fund pages.

SPY
S&P 500
  1. 1NVDANVIDIA
    7.4%
  2. 2MSFTMicrosoft
    6.5%
  3. 3AAPLApple
    5.9%
  4. 4AMZNAmazon
    3.8%
  5. 5METAMeta Platforms
    2.7%
  6. 6GOOGLAlphabet Class A
    2.2%
  7. 7AVGOBroadcom
    2.2%
  8. 8GOOGAlphabet Class C
    1.8%
  9. 9TSLATesla
    1.7%
  10. 10BRK.BBerkshire Hathaway
    1.6%
DIA
Dow Jones 30
  1. 1GSGoldman Sachs
    8.7%
  2. 2MSFTMicrosoft
    6.6%
  3. 3CATCaterpillar
    6.2%
  4. 4HDHome Depot
    5.8%
  5. 5SHWSherwin-Williams
    5.0%
  6. 6VVisa
    4.6%
  7. 7UNHUnitedHealth
    4.2%
  8. 8MCDMcDonald's
    4.0%
  9. 9AXPAmerican Express
    3.9%
  10. 10AMGNAmgen
    3.8%
QQQ
Nasdaq 100
  1. 1NVDANVIDIA
    9.0%
  2. 2MSFTMicrosoft
    8.0%
  3. 3AAPLApple
    7.2%
  4. 4AMZNAmazon
    5.4%
  5. 5AVGOBroadcom
    5.0%
  6. 6METAMeta Platforms
    3.8%
  7. 7GOOGLAlphabet Class A
    2.7%
  8. 8GOOGAlphabet Class C
    2.6%
  9. 9TSLATesla
    2.5%
  10. 10COSTCostco
    2.4%
VUG
US Large Growth
  1. 1NVDANVIDIA
    9.7%
  2. 2MSFTMicrosoft
    9.3%
  3. 3AAPLApple
    8.3%
  4. 4AMZNAmazon
    5.9%
  5. 5METAMeta Platforms
    3.7%
  6. 6GOOGLAlphabet Class A
    2.9%
  7. 7AVGOBroadcom
    2.8%
  8. 8GOOGAlphabet Class C
    2.5%
  9. 9TSLATesla
    2.4%
  10. 10NFLXNetflix
    1.6%
VTV
US Large Value
  1. 1JPMJPMorgan Chase
    2.6%
  2. 2BRK.BBerkshire Hathaway
    2.4%
  3. 3XOMExxon Mobil
    2.2%
  4. 4WMTWalmart
    1.8%
  5. 5HDHome Depot
    1.7%
  6. 6JNJJohnson & Johnson
    1.6%
  7. 7PGProcter & Gamble
    1.5%
  8. 8CVXChevron
    1.4%
  9. 9BACBank of America
    1.3%
  10. 10KOCoca-Cola
    1.0%
IJH
S&P MidCap 400
  1. 1EMEEMCOR Group
    1.0%
  2. 2IBKRInteractive Brokers
    0.9%
  3. 3JEFJefferies Financial
    0.8%
  4. 4FIXComfort Systems USA
    0.8%
  5. 5THCTenet Healthcare
    0.7%
  6. 6EWBCEast West Bancorp
    0.7%
  7. 7RGAReinsurance Group of America
    0.7%
  8. 8WSOWatsco
    0.7%
  9. 9USFDUS Foods Holding
    0.7%
  10. 10UNMUnum Group
    0.6%
IWM
Russell 2000
  1. 1AAOIApplied Optoelectronics
    0.5%
  2. 2FTAIFTAI Aviation
    0.5%
  3. 3INSMInsmed
    0.5%
  4. 4SFMSprouts Farmers Market
    0.4%
  5. 5MLIMueller Industries
    0.4%
  6. 6RDDTReddit
    0.4%
  7. 7VKTXViking Therapeutics
    0.4%
  8. 8ATIATI Inc.
    0.4%
  9. 9FNFabrinet
    0.3%
  10. 10CRSCarpenter Technology
    0.3%
VTI
US Total Market
  1. 1NVDANVIDIA
    6.6%
  2. 2MSFTMicrosoft
    5.8%
  3. 3AAPLApple
    5.3%
  4. 4AMZNAmazon
    3.4%
  5. 5METAMeta Platforms
    2.4%
  6. 6GOOGLAlphabet Class A
    2.0%
  7. 7AVGOBroadcom
    1.9%
  8. 8GOOGAlphabet Class C
    1.6%
  9. 9TSLATesla
    1.5%
  10. 10BRK.BBerkshire Hathaway
    1.4%
EFA
Int'l Developed
  1. 1ASMLASML Holding
    2.1%
  2. 2NESN.SWNestlé
    1.9%
  3. 3NOVO-B.CONovo Nordisk
    1.8%
  4. 4SAPSAP
    1.7%
  5. 5ROG.SWRoche Holding
    1.6%
  6. 6AZNAstraZeneca
    1.5%
  7. 7NOVN.SWNovartis
    1.4%
  8. 8SHELShell
    1.4%
  9. 9HSBA.LHSBC Holdings
    1.3%
  10. 10TMToyota Motor
    1.2%
EEM
Emerging Markets
  1. 12330.TWTSMC
    9.5%
  2. 2700.HKTencent Holdings
    4.6%
  3. 3BABAAlibaba Group
    3.1%
  4. 4005930.KSSamsung Electronics
    2.8%
  5. 5RELIANCE.NSReliance Industries
    1.6%
  6. 6META.MXMeituan
    1.4%
  7. 73690.HKPDD Holdings
    1.3%
  8. 89988.HKXiaomi
    1.2%
  9. 9HDFCBANK.NSHDFC Bank
    1.2%
  10. 10INFYInfosys
    1.0%
AGG
US Agg Bonds

Bond index — holds thousands of US Treasuries, agency MBS, and investment-grade corporate bonds rather than single-company equities.

GLD
Gold

Commodity trust — backed by physical gold bullion held in vaults; no underlying company holdings.

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