AADR vs CTVWX

AADR is an ETF, whereas CTVWX is a mutual fund. AADR has a lower expense ratio than CTVWX (1.1% vs 1.29%). Below is the comparison between AADR and CTVWX.

AADR CTVWX
Security Type ETF Mutual fund
Segment Equity: Global Ex-U.S. - Total Market Growth N/A
Issuer AdvisorShares Columbia
Net Assets $69.25M $100K
Expense Ratio 1.10% 1.29%
Management Style passive (index-based) passive
Dividend Yield 0.68% 2.75%
Minimum Investment N/A N/A
YTD Return -13.66% N/A
1-Year Return 3.18% N/A
3-Year Return -1.15% N/A
5-Year Return 3.36% N/A
10-Year Return N/A N/A

AADR description

The Fund seeks long-term capital appreciation above international benchmarks such as the MSCI EAFE Index and the BNY Mellon Classic ADR Index. The Fund selects a portfolio of U.S. traded securities of non-U.S. organizations, most often American Depositary Receipts (ADRs), included in the BNY Mellon Classic ADR Index.

AADR performance & returns

YTD Return -13.66%
1-Month Return 6.91%
3-Month Return -17.61%
1-Year Return 3.18%
3-Year Return -1.15%
5-Year Return 3.36%
10-Year Return N/A
AADR expense ratio is 1.1%.

AADR holdings

Top 10 Holdings (41.23% of Total Assets)

Name Symbol % Assets
Galapagos NV ADR GLPG 6.19%
NICE Ltd ADR NICE 5.42%
argenx SE ADR ARGX 4.32%
ZTO Express (Cayman) Inc ADR ZTO 4.04%
TAL Education Group ADR TAL 3.83%
MercadoLibre Inc MELI.SA 3.82%
Anglogold Ashanti Ltd ADR AU.JO 3.45%
ASML Holding NV ADR ASML 3.42%
AstraZeneca PLC ADR AZN.L 3.38%
Gold Fields Ltd ADR GFI.JO 3.36%

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CTVWX description

The Fund seeks total return, consisting of current income and capital appreciation. Under normal circumstances the Fund will invest at least 80% of its assets in dividend-paying equity securities of U.S. and non-U.S. companies.

CTVWX performance & returns

YTD Return N/A
1-Month Return N/A
3-Month Return N/A
1-Year Return N/A
3-Year Return N/A
5-Year Return N/A
10-Year Return N/A
CTVWX expense ratio is 1.29%.

CTVWX holdings

Top 10 Holdings (23.72% of Total Assets)

Name Symbol % Assets
Deutsche Telekom AG DTEGF.DE 2.83%
Pfizer Inc PFE 2.54%
British American Tobacco PLC BTAFF.L 2.53%
Cisco Systems Inc CSCO 2.4%
UBS Group AG UBS 2.38%
Unilever NV DR UNLNF 2.31%
Manulife Financial Corp MFC.TO 2.25%
Coca-Cola Co KO 2.22%
Taiwan Semiconductor Manufacturing Co Ltd 2330.TW 2.16%
General Motors Co GM 2.1%

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