Fund comparison · from official SEC filings
FID vs SCHF: how much do they overlap?
First Trust S&P International Dividend Aristocrats ETF and Schwab International Equity ETF
Holdings overlap5%of assets, by weight Shared positions52of 77 / 1,478 holdings FID expense ratio0.60%net, per year SCHF expense ratio0.03%net, per year Shared holdings
T
TUTELUS CORP
2.41%
0.02%
L
LGGNFLEGAL & GENERAL GROUP PLC
2.09%
0.07%
A
APAJFAPA GROUP
1.99%
0.03%
E
ELMUFELISA OYJ
1.92%
0.02%
C
CNQCANADIAN NATURAL RESOURCES
1.86%
0.31%
S
SHNWFSCHRODERS PLC
1.82%
0.02%
D
DNBBFDNB BANK ASA
1.81%
0.08%
P
PBAPEMBINA PIPELINE CORP
1.69%
0.09%
H
HLDVFHENDERSON LAND DEVELOPMENT
1.64%
0.02%
K
KEYUFKEYERA CORP
1.63%
0.03%
S
SNLAFSINO LAND CO
1.56%
0.02%
E
ELCPFEDP SA
1.52%
0.05%
E
ESOCFENEL SPA
1.52%
0.29%
W
WDPSFWAREHOUSES DE PAUW SCA
1.48%
0.02%
H
HGKGFPOWER ASSETS HOLDINGS LTD
1.45%
0.04%
B
BQCNFBANQUE CANTONALE VAUDOIS-REG
1.44%
0.01%
T
TRPTC ENERGY CORP
1.42%
0.23%
B
BOUYFBOUYGUES SA
1.37%
0.04%
0
078930GS HOLDINGS
1.36%
0.01%
S
SNYNFSANOFI
1.36%
0.32%
T
TKPHFTAKEDA PHARMACEUTICAL CO LTD
1.32%
0.17%
T
TERRFTERNA-RETE ELETTRICA NAZIONA
1.30%
0.05%
U
UUGWFUNITED UTILITIES GROUP PLC
1.28%
0.05%
Z
ZFSVFZURICH INSURANCE GROUP AG
1.28%
0.36%
L
LNVGFLENOVO GROUP LTD
1.24%
0.08%
Only in FID
B
BKFCFBANK OF COMMUNICATIONS CO-H
1.91%
F
FEZHFFAR EAST HORIZON LTD
1.82%
L
LNSPFLONDONMETRIC PROPERTY PLC
1.61%
T
TLPFFTELEPERFORMANCE
1.58%
J
JEXYFJIANGSU EXPRESS CO LTD-H
1.57%
B
BSDGFBOSIDENG INTL HLDGS LTD
1.53%
S
STCSAUDI TELECOM CO
1.35%
V
VOPKFVOPAK
1.31%
C
CDUAFCANADIAN UTILITIES LTD-A
1.29%
E
ERGERG SPA
1.24%
E
EANDEMIRATES TELECOM GROUP CO
1.22%
C
CIHHFCHINA MERCHANTS BANK-H
1.21%
3
3293INTERNATIONAL GAMES SYSTEM C
1.16%
D
DKSHFDKSH HOLDING AG
1.15%
C
CMBNFCEMBRA MONEY BANK AG
1.15%
H
HAZAFHAZAMA ANDO CORP
1.13%
C
COCSFCOCA-COLA FEMSA SAB DE CV
1.12%
R
RCIROGERS COMMUNICATIONS INC-B
1.10%
5
5347VANGUARD INTERNATIONAL SEMI
1.07%
R
RUSMFRUSSEL METALS INC
1.06%
P
PIAIFPING AN INSURANCE GROUP CO-H
1.05%
D
DWVYFDERWENT LONDON PLC
1.04%
S
SHWGFSHANDONG WEIGAO GP MEDICAL-H
0.95%
H
HKMPFHIKMA PHARMACEUTICALS PLC
0.90%
D
DGCXXBNY DREYFUS GOVERNMENT CASH
0.07%
Only in SCHF
S
SSNLFSAMSUNG ELECTRONICS CO LTD
3.33%
0
000660SK HYNIX INC
2.81%
A
ASMLFASML HOLDING NV
2.10%
H
HBCYFHSBC HOLDINGS PLC
1.08%
R
RHHVFROCHE HOLDING AG
0.99%
N
NVSEFNOVARTIS AG-REG
0.97%
A
AZNASTRAZENECA PLC
0.94%
R
RYROYAL BANK OF CANADA
0.90%
R
RYDAFSHELL PLC
0.80%
S
SMAWFSIEMENS AG-REG
0.77%
B
BHPLFBHP GROUP LTD
0.74%
M
MBFJFMITSUBISHI UFJ FINANCIAL GRO
0.69%
T
TOYOFTOYOTA MOTOR CORP
0.68%
C
CBAUFCOMMONWEALTH BANK OF AUSTRAL
0.66%
T
TDTORONTO-DOMINION BANK
0.64%
S
SAPGFSAP SE
0.63%
S
SFTBFSOFTBANK GROUP CORP
0.62%
B
BCDRFBANCO SANTANDER SA
0.61%
S
SBGSFSCHNEIDER ELECTRIC SE
0.57%
A
ABLZFABB LTD-REG
0.56%
T
TTETOTALENERGIES SE
0.53%
G
GVMXXSTATE ST INST US GOV MM-PREM
0.52%
R
RYCEFROLLS-ROYCE HOLDINGS PLC
0.51%
I
IBDSFIBERDROLA SA
0.50%
U
UBSUBS GROUP AG-REG
0.50%
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Data source: official SEC Form N-PORT filings from each fund. Fund holdings are disclosed quarterly and may reflect a 60-day reporting delay.
Informational and educational only — not investment advice.