US ETFs Comparison 1Y
We have compared VOO, VXUS, IVV, SPHD, and SCHD Performance. Based on the correlation, SCHD and SPHD are highly correlated. We will be keeping SPHD as it’s closer to our TPP 15% 52WH range.
As for VOO and IVV, both are highly correlated. We will be keep VOO in our holdings. VXUS seems to be more volatile than VOO, but with International exposure, so we will keep VXUS.
We have decided to include VNQ to our holdings and split the target % allocations evenly.