Fund comparison · from official SEC filings

FJP vs FNDF: how much do they overlap?

First Trust Japan AlphaDEX Fund and Schwab Fundamental International Equity ETF
Holdings overlap
9%
of assets, by weight
Shared positions
86
of 102 / 890 holdings
FJP expense ratio
0.80%
net, per year
FNDF expense ratio
0.25%
net, per year
Shared holdings
Company
FJP
FNDF
X
XZJCFMITSUI KINZOKU CO LTD
2.23%
0.12%
I
IPXHFINPEX CORP
1.96%
0.15%
M
MSLOFMITSUI OSK LINES LTD
1.83%
0.07%
K
KAKKFKAWASAKI KISEN KAISHA LTD
1.61%
0.03%
N
NGKIFNGK CORP
1.60%
0.07%
F
FKURFFUJIKURA LTD
1.57%
0.06%
T
TYHOFTOYOTA TSUSHO CORP
1.52%
0.19%
S
STMNFSUMITOMO METAL MINING CO LTD
1.52%
0.10%
N
NYUKFNIPPON YUSEN KK
1.50%
0.12%
S
SMTOFSUMITOMO ELECTRIC INDUSTRIES
1.49%
0.35%
T
TISCFTAISEI CORP
1.45%
0.05%
K
KYSEFKYUSHU ELECTRIC POWER CO INC
1.43%
0.05%
K
KAEPFKANSAI ELECTRIC POWER CO INC
1.41%
0.10%
S
SHMUFSHIMIZU CORP
1.40%
0.04%
M
MARUFMARUBENI CORP
1.39%
0.27%
K
KAJMFKAJIMA CORP
1.36%
0.06%
S
SZHFFSOJITZ CORP
1.35%
0.06%
C
CJPRFCENTRAL JAPAN RAILWAY CO
1.24%
0.07%
S
SHWDFRESONAC HOLDINGS CORP
1.24%
0.14%
K
KBSTFKOBE STEEL LTD
1.22%
0.06%
S
SOMMFSUMITOMO CHEMICAL CO LTD
1.21%
0.08%
A
AHKSFASAHI KASEI CORP
1.17%
0.14%
A
ADTTFADVANTEST CORP
1.17%
0.07%
J
JPNRFJAPAN AIRLINES CO LTD
1.17%
0.03%
C
CHUEFCHUBU ELECTRIC POWER CO INC
1.14%
0.13%
Only in FJP
?
BofA Securities, Inc.
13.30%
M
MDIKFMODEC INC
1.65%
1
1942KANDENKO CO LTD
1.57%
D
DNPUFSUMITOMO PHARMA CO LTD
1.22%
O
OPPPFOPEN HOUSE GROUP CO LTD
1.16%
K
KNDEFKINDEN CORP
1.10%
T
TOKCFTOKYO OHKA KOGYO CO LTD
1.05%
I
IBIDFIBIDEN CO LTD
0.93%
S
SEIBFSEIBU HOLDINGS INC
0.81%
K
KOKSFKOKUSAI ELECTRIC CORP
0.77%
M
MEBUFMEBUKI FINANCIAL GROUP INC
0.62%
H
HACBFHACHIJUNI NAGANO BANK LTD
0.61%
C
CCRDFYOKOHAMA FINANCIAL GROUP INC
0.57%
S
SFGIFSHIZUOKA FINANCIAL GROUP INC
0.57%
T
TCNRFTOKYO CENTURY CORP
0.53%
D
DGCXXBNY DREYFUS GOVERNMENT CASH
0.09%
Only in FNDF
S
SSNLFSAMSUNG ELECTRONICS CO LTD
5.48%
R
RYDAFSHELL PLC
2.18%
T
TTETOTALENERGIES SE
1.68%
0
000660SK HYNIX INC
1.36%
G
GVMXXSTATE ST INST US GOV MM-PREM
1.24%
G
GLCNFGLENCORE PLC
1.22%
B
BHPLFBHP GROUP LTD
1.21%
B
BPAQFBP PLC
1.07%
H
HBCYFHSBC HOLDINGS PLC
1.00%
R
RHHVFROCHE HOLDING AG
0.81%
R
RTPPFRIO TINTO PLC
0.80%
B
BCDRFBANCO SANTANDER SA
0.72%
N
NSRGFNESTLE SA-REG
0.67%
M
MBGAFMERCEDES-BENZ GROUP AG
0.64%
M
MSBHFMITSUBISHI CORP
0.62%
D
DTEGFDEUTSCHE TELEKOM AG-REG
0.61%
N
NVSEFNOVARTIS AG-REG
0.59%
0
005935SAMSUNG ELECTRONICS-PREF
0.59%
B
BTAFFBRITISH AMERICAN TOBACCO PLC
0.58%
E
EIPAFENI SPA
0.55%
R
RYROYAL BANK OF CANADA
0.51%
V
VODPFVODAFONE GROUP PLC
0.51%
S
SUSUNCOR ENERGY INC
0.51%
B
BFFAFBASF SE
0.50%
H
HYMLFHYUNDAI MOTOR CO
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.