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CIL vs CID

Both CID and CIL are ETFs. CID has a lower 5-year return than CIL (4.72% vs 8.93%). Below is the comparison between CID and CIL.

CID CIL
Security Type ETF ETF
Segment Equity: Developed Markets Ex-U.S. - Large Cap Equity: Developed Markets Ex-U.S. - Large Cap
Family Victory Capital Management Victory Capital Management
Net Assets $23.00M $116.70M
Expense Ratio N/A 0.45%
Management Style passive (index-based) passive (index-based)
Dividend Yield N/A N/A
Underlying Index CEMP International High Dividend 100 Volatility Weighted Index CEMP International 500 Volatility Weighted Index
YTD Return 13.06% 10.70%
1-Year Return 33.87% 28.60%
3-Year Return 2.16% 6.71%
5-Year Return 4.72% 8.93%
10-Year Return 0.00% 0.00%

CID description

The Fund seeks to provide investment results that track the performance of the CEMP International High Dividend 100 Volatility Weighted Index. The Index is an unmanaged index created by the Fund's investment adviser consisting of the common stock of the 100 highest dividend yielding stocks of the Index.

CID performance & returns

YTD Return 13.06%
1-Month Return 0.44%
3-Month Return 2.51%
1-Year Return 33.87%
3-Year Return 2.16%
5-Year Return 4.72%
10-Year Return 0.00%
CID expense ratio is N/A.

CID holdings

Top 10 Holdings (15.06% of Total Assets)

Name Symbol % Assets
SoftBank Corp 9434 1.83%
Japan Tobacco Inc 2914 1.73%
Mitsubishi Corp 8058 1.51%
Power Assets Holdings Ltd 00006.HK 1.46%
KT&G Corp 033780.KS 1.45%
Tesco PLC TSCO.L 1.45%
Hang Seng Bank Ltd 00011.HK 1.43%
Swisscom AG SCMN 1.42%
Telenor ASA TEL 1.41%
Singapore Telecommunications Ltd Z74.SI 1.37%

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CIL description

The Fund seeks to provide investment results that track the performance of the CEMP International 500 Volatility Weighted Index before fees and expenses. The Index is comprised of the 500 largest foreign companies by market capitalization measured at the time the Index's constituent securities are determined.

CIL performance & returns

YTD Return 10.70%
1-Month Return 1.88%
3-Month Return 4.93%
1-Year Return 28.60%
3-Year Return 6.71%
5-Year Return 8.93%
10-Year Return 0.00%
CIL expense ratio is 0.45%.

CIL holdings

Top 10 Holdings (3.62% of Total Assets)

Name Symbol % Assets
MSCI EAFE Index Future Dec 20 MFSZ0 0.53%
NTT DOCOMO Inc 9437 0.42%
Barry Callebaut AG BARN.HK 0.35%
CLP Holdings Ltd 00002 0.35%
SoftBank Corp 9434 0.35%
Japan Tobacco Inc 2914 0.33%
Nestle SA NESN 0.33%
Keyence Corp 6861 0.32%
Nintendo Co Ltd 7974 0.32%
Schindler Holding AG Profit-sharing certificate SCHP 0.32%

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