VOO vs SPYI vs QQQM
Compare yield, Price CAGR, payout support, stability, and distribution history side by side.
Summary
A quick side-by-side view of each fund's core profile.
| Field | VOO | SPYI | QQQM |
|---|---|---|---|
| Ticker | VOO | SPYI | QQQM |
| Name | Vanguard S&P 500 ETF | NEOS S&P 500 High Income ETF | Invesco NASDAQ 100 ETF |
| Type | ETF | ETF | ETF |
| Issuer | Vanguard | Neos | Invesco |
| Positioning | Growth | Income | Growth |
Strategy
See how each fund is designed to generate income and total return.
Seeks to track the performance of the S&P 500 Index by holding a diversified portfolio of large U.S. companies.
Underlying Exposure
Review the holdings, index exposure, or strategy focus behind each fund.
Large-cap U.S. equities represented by the S&P 500 Index.
Overview Metrics
Compare the latest headline numbers for price, dividend, fees, and payout schedule.
| Metric | VOO | SPYI | QQQM |
|---|---|---|---|
| Latest close | $707.54 (+0.74%) As of 2026-10-02 | $53.60 (+0.60%) As of 2026-10-02 | $308.69 (+1.02%) As of 2026-10-02 |
| Latest distribution | $1.82 Ex-date 2026-09-28 | $0.5338 Ex-date 2026-09-16 | $0.3127 Ex-date 2026-09-21 |
| Estimated forward yield | 1.03% | 12.04% | 0.42% |
| Listed date | 2010-09-07 | 2022-08-29 | 2020-10-13 |
| Expense ratio | 0.03% | 0.68% | 0.15% |
| Payout frequency | Quarterly | Monthly | Quarterly |
Latest Signal Snapshot
Latest signal snapshot 2026-09Use this as a first-pass comparison of each fund's income appeal, payout support, and price behavior.
| Readout | VOO | SPYI | QQQM |
|---|---|---|---|
| TTM yield | 1.06%Low Annualized | 11.92%High Annualized | 0.43%Low Annualized |
| Price CAGR | 21.30%High Annualized | 4.23%Medium Annualized | 27.38%High Annualized |
| Return gap | +21.8% | +5.6% | +27.7% |
| Payout support risk | Low | Low | Low |
| Stability signal | Low | Medium | Low |
| Sufficient history | Enough | Enough | Enough |
Price History
Last 1 yearView each fund's price path over the same selected period.
Dividend History
Last 1 yearReview how cash distributions have changed over time for each fund.
Total Return History
Last 1 yearCompare cumulative total return for each fund over the same period, with distributions reinvested.
TTM yield
Last 1 yearCompare trailing 12-month cash distributions relative to current price for each selected fund.
Price CAGR
Last 1 yearCompare annualized share-price change over rolling 3-year windows, excluding distributions.
Total Return CAGR
Last 1 yearCompare annualized total return over rolling 3-year windows, assuming distributions are reinvested.
Return gap
Last 1 yearCompare rolling 3-year Total Return CAGR minus TTM yield to see where payouts may be outrunning recent returns.
Beta
Last 1 yearCompare each fund's market sensitivity using aligned monthly returns versus the benchmark over the last 3 years.
Volatility
Last 1 yearCompare annualized variation in monthly returns over rolling 3-year windows.
Max drawdown
Last 1 yearCompare each fund's largest peak-to-trough decline within the rolling 3-year window.
Historical Signals
Last 1 yearSee how often each fund has landed in stronger or weaker signal ranges over the selected period.