IMLP vs YMLI

Both IMLP and YMLI are ETFs. IMLP has a higher 5-year return than YMLI (4.18% vs -7.11%). IMLP has a lower expense ratio than YMLI (0.8% vs 0.83%). Below is the comparison between IMLP and YMLI.

Together with FinMasters
Stock Wars
Pick any two stocks and find out how much money each would've made you had you purchased them at the same time.
IMLP YMLI
Security Type ETF ETF
Finny Score 0 N/A
Category Energy Limited Partnership Energy Limited Partnership
Family Barclays Capital VanEck
Net Assets N/A N/A
Expense Ratio 0.80% 0.83%
Management Style passive (index-based) passive (index-based)
Dividend Yield 6.48% 8.60%
Underlying Index S&P MLP Index Solactive High Income Infrastructure MLP Index
YTD Return 0.00% 4.80%
1-Year Return 17.29% -10.72%
3-Year Return 12.38% -3.61%
5-Year Return 4.18% -7.11%
10-Year Return 0.96% 0.00%

IMLP

IMLP description

The Fund seeks total return. The Fund invests at least 80% of its net assets in MLP interests under normal circumstances. MLPs are publicly traded partnerships primarily engaged in the transportation, storage, processing, refining, marketing, exploration, production, and mining of minerals and natural resources.

IMLP performance & returns

YTD Return 0.00%
1-Month Return 0.00%
3-Month Return -2.37%
1-Year Return 17.29%
3-Year Return 12.38%
5-Year Return 4.18%
10-Year Return 0.96%
IMLP expense ratio is 0.8%.

IMLP holdings

Top 10 Holdings (0.00% of Total Assets)

Name Symbol % Assets

IMLP pros

None that we could think of.

IMLP cons

None that we could think of.

Other relevant IMLP comparisons

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

Or use Finny's Comparison Tool to create a comparison you'd like to see.

YMLI

YMLI description

Symphony Life Berhad, an investment holding company, engages in the development and investment of properties in Malaysia. The company operates through four segments: Property Development, Property Investment, Construction and Quarry Operations, and Other Operations. It provides property management and maintenance; property rental and marketing consultancy; and share and property trading, project management, and marketing services. In addition, the company undertakes civil engineering and construction works. Further, it engages in quarry operations. The company was formerly known as Bolton Berhad and changed its name to Symphony Life Berhad in 2013. Symphony Life Berhad was incorporated in 1964 and is headquartered in Petaling Jaya, Malaysia.

YMLI performance & returns

YTD Return 4.80%
1-Month Return 0.67%
3-Month Return -5.82%
1-Year Return -10.72%
3-Year Return -3.61%
5-Year Return -7.11%
10-Year Return 0.00%
YMLI expense ratio is 0.83%.

YMLI holdings

Top 10 Holdings (48.43% of Total Assets)

Name Symbol % Assets
Buckeye Partners LP N/A 5.46%
TC Pipelines LP TCP 5.30%
Crestwood Equity Partners LP CEQP 5.01%
Phillips 66 Partners LP PSXP 4.91%
Magellan Midstream Partners LP MMP 4.84%
Shell Midstream Partners LP SHLX 4.84%
NuStar Energy LP NS 4.65%
Cheniere Energy Partners LP CQP 4.60%
Enterprise Products Partners LP EPD 4.45%
Genesis Energy LP GEL 4.37%

YMLI pros

None that we could think of.

YMLI cons

The following are YMLI weaknesses from our perspective:

  • YMLI net assets are $0.00 million. This fund is not a popular choice with retail investors.
  • YMLI expense ratio is 0.83%, which is not negligible. Is the fund expensive to you, and does it align to your investment strategy?

Other relevant YMLI comparisons

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

Or use Finny's Comparison Tool 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.