Finny logo
Dibs:
Dibs:
0

ACWF vs FFTY

Both ACWF and FFTY are ETFs. ACWF has a lower 5-year return than FFTY (12.82% vs 17.61%). ACWF has a lower expense ratio than FFTY (0.35% vs 0.8%). Below is the comparison between ACWF and FFTY.

ACWF FFTY
Security Type ETF ETF
Segment Equity: Global - Total Market Equity: Global - Total Market
Family BlackRock Academy Funds
Net Assets $110.50M $263.30M
Expense Ratio 0.35% 0.80%
Management Style passive (index-based) passive (index-based)
Dividend Yield 1.56% 0.00%
Underlying Index MSCI ACWI Diversified Multiple-Factor Index --
YTD Return 13.93% 12.18%
1-Year Return 49.75% 47.69%
3-Year Return 10.05% 10.39%
5-Year Return 12.82% 17.61%
10-Year Return 0.00% 0.00%

ACWF description

The Fund seeks to track the investment results of the MSCI ACWI Diversified Multiple-Factor Index. The Underlying Index is designed to select equity securities from the MSCI ACWI Index that have high exposure to value, quality, momentum and low size, while maintaining a level of risk similar to that of the Parent Index.

ACWF performance & returns

YTD Return 13.93%
1-Month Return 3.32%
3-Month Return 9.27%
1-Year Return 49.75%
3-Year Return 10.05%
5-Year Return 12.82%
10-Year Return 0.00%
ACWF expense ratio is 0.35%.

ACWF holdings

Top 10 Holdings (15.37% of Total Assets)

Name Symbol % Assets
Roche Holding AG Dividend Right Cert. ROG 2.14%
Intel Corp INTC 1.72%
Intuit Inc INTU 1.69%
Target Corp TGT 1.61%
Accenture PLC Class A ACN 1.61%
Anthem Inc ANTM 1.41%
Apple Inc AAPL 1.37%
China Construction Bank Corp Class H 00939 1.33%
Rio Tinto PLC RIO.L 1.28%
Micron Technology Inc MU 1.21%

Other relevant ACWF comparisons

You may also want to check out the following ACWF comparisons that investors often look for on Finny

Or use Finny Compare Wizard to create a comparison you’d like to see.

FFTY description

The Fund seeks long-term capital appreciation. The Fund will invest at least 80% of its net assets in companies included in the IBD 50 Index. The Index is a computer-generated stock index published by Investors Business Daily. The Fund will invest in a portfolio of U.S.-listed, exchange-traded equities.

FFTY performance & returns

YTD Return 12.18%
1-Month Return 3.34%
3-Month Return -1.20%
1-Year Return 47.69%
3-Year Return 10.39%
5-Year Return 17.61%
10-Year Return 0.00%
FFTY expense ratio is 0.8%.

FFTY holdings

Top 10 Holdings (34.26% of Total Assets)

Name Symbol % Assets
Pool Corp POOL 3.66%
West Pharmaceutical Services Inc WST 3.56%
Advanced Micro Devices Inc AMD 3.54%
NVIDIA Corp NVDA 3.45%
Logitech International SA LOGN 3.42%
Veeva Systems Inc Class A VEEV 3.41%
Lowe's Companies Inc LOW 3.38%
Adobe Inc ADBE 3.36%
PayPal Holdings Inc PYPL 3.25%
PennyMac Financial Services Inc Class A PFSI 3.23%

Other relevant FFTY comparisons

You may also want to check out the following FFTY comparisons that investors often look for on Finny

Or use Finny Compare Wizard to create a comparison you’d like to see.

You can check out all comparisons Finny users have looked for here. Feel free to the browse the list and view the comparisons that are of an interest to you.
Follow Us