Fund comparison · from official SEC filings
HERO vs VPL: how much do they overlap?
Global X Video Games & Esports ETF and VANGUARD PACIFIC STOCK INDEX FUND
Holdings overlap1%of assets, by weight Shared positions17of 43 / 2,337 holdings HERO expense ratio0.50%net, per year VPL expense ratio0.07%net, per year Shared holdings
2
259960KRAFTON INC
5.31%
0.04%
N
NTDOFNINTENDO CO LTD
4.57%
0.42%
K
KNAMFKONAMI GROUP CORP
4.43%
0.10%
S
SQNXFSQUARE ENIX HOLDINGS CO LTD
4.41%
0.03%
C
CCOEFCAPCOM CO LTD
4.17%
0.06%
0
036570NC CORP
3.68%
0.02%
N
NEXOFNEXON CO LTD
2.70%
0.04%
S
SGAMFSEGA SAMMY HOLDINGS INC
2.36%
0.02%
D
DNACFDENA CO LTD
1.36%
0.01%
T
TKHCFKOEI TECMO HOLDINGS CO LTD
1.12%
0.01%
2
263750PEARL ABYSS CORP
1.07%
0.01%
2
251270NETMARBLE CORP
0.81%
0.01%
G
GUNGFGUNGHO ONLINE ENTERTAINMENT
0.49%
0.00%
I
IGGGFIGG INC
0.35%
0.00%
2
293490KAKAO GAMES CORP
0.32%
0.00%
1
112040WEMADE CO LTD
0.29%
0.00%
2
225570NEXON GAMES CO LTD
0.28%
0.00%
Only in HERO
E
EAELECTRONIC ARTS INC
6.67%
T
TTWOTAKE-TWO INTERACTIVE SOFTWRE
6.35%
N
NTESNETEASE INC-ADR
6.02%
3
3293INTERNATIONAL GAMES SYSTEM C
5.12%
U
UUNITY SOFTWARE INC
5.07%
O
OTGLFCD PROJEKT SA
4.26%
R
RBLXROBLOX CORP -CLASS A
3.68%
K
KSFTFKINGSOFT CORP LTD
2.88%
B
BILIBILIBILI INC-SPONSORED ADR
2.72%
V
VVVNFVIVENDI SE
2.19%
X
XDNCFXD INC
2.02%
H
HNTGFCHINA RUYI HOLDINGS LTD
1.77%
M
MTGBMODERN TIMES GROUP-B SHS
1.35%
T
THQQFEMBRACER GROUP AB
1.13%
C
CRSRCORSAIR GAMING INC
0.72%
U
UBSFFUBISOFT ENTERTAINMENT
0.67%
P
PLTKPLAYTIKA HOLDING CORP
0.36%
I
IMMRIMMERSION CORPORATION
0.34%
9
9890TANWAN INC
0.33%
T
TBCHTURTLE BEACH CORP
0.32%
7
777NETDRAGON WEBSOFT HOLDINGS L
0.30%
H
HUYAHUYA INC-ADR
0.23%
B
BOYAFBOYAA INTERACTIVE INTERNATIO
0.21%
1
1119IDREAMSKY TECHNOLOGY HOLDING
0.20%
Only in VPL
S
SSNLFSAMSUNG ELECTRONICS CO LTD
5.95%
0
000660SK HYNIX INC
4.05%
C
CBAUFCOMMONWEALTH BANK OF AUSTRAL
1.77%
T
TOYOFTOYOTA MOTOR CORP
1.71%
?
—Vanguard Cmt Funds-Vanguard Market Liquidity Fund
1.67%
M
MBFJFMITSUBISHI UFJ FINANCIAL GRO
1.66%
B
BHPLFBHP GROUP LTD
1.63%
H
HTHIFHITACHI LTD
1.16%
A
ADTTFADVANTEST CORP
1.13%
S
SFTBFSOFTBANK GROUP CORP
1.12%
T
TOELFTOKYO ELECTRON LTD
1.10%
S
SMFNFSUMITOMO MITSUI FINANCIAL GR
1.08%
S
SNEJFSONY GROUP CORP
1.01%
A
AAIGFAIA GROUP LTD
0.97%
M
MSBHFMITSUBISHI CORP
0.88%
M
MZHOFMIZUHO FINANCIAL GROUP INC
0.87%
W
WEBNFWESTPAC BANKING CORP
0.80%
M
MHVYFMITSUBISHI HEAVY INDUSTRIES
0.80%
M
MITSFMITSUI & CO LTD
0.80%
D
DBSDFDBS GROUP HOLDINGS LTD
0.78%
N
NAUBFNATIONAL AUSTRALIA BANK LTD
0.74%
0
005935SAMSUNG ELECTRONICS-PREF
0.73%
K
KYCCFKEYENCE CORP
0.72%
S
SHECFSHIN-ETSU CHEMICAL CO LTD
0.72%
F
FRCOFFAST RETAILING CO LTD
0.70%
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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.