BINV vs. IHI ETF Comparison

Comparison of Brandes International ETF (BINV) to iShares U.S. Medical Devices ETF (IHI)
BINV

Brandes International ETF

BINV Description

The fund is an actively managed exchange-traded fund ("ETF") that seeks to attain its investment objective by investing primarily in equity securities of foreign companies. The fund typically invests in foreign companies with market capitalizations (market value of publicly traded equity securities) greater than $5 billion at the time of purchase.

Grade (RS Rating)

Last Trade

$30.77

Average Daily Volume

26,585

Number of Holdings *

3

* may have additional holdings in another (foreign) market
IHI

iShares U.S. Medical Devices ETF

IHI Description The investment seeks to track the investment results of an index composed of U.S. equities in the medical devices sector. The fund generally invests at least 90% of its assets in securities of the underlying index and in depositary receipts representing securities of the underlying index. It seeks to track the investment results of the Dow Jones U.S. Select Medical Equipment Index (the "underlying index"), which measures the performance of the medical equipment sector of the U.S. equity market. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$56.23

Average Daily Volume

675,386

Number of Holdings *

51

* may have additional holdings in another (foreign) market
Performance
Period BINV IHI
30 Days -0.47% -1.54%
60 Days -0.83% -0.34%
90 Days 4.13% -2.60%
12 Months 0.03%
0 Overlapping Holdings
Symbol Grade Weight in BINV Weight in IHI Overlap
BINV Overweight 3 Positions Relative to IHI
Symbol Grade Weight
BABA D 2.66%
SAP B 2.43%
PHG D 2.18%
BINV Underweight 51 Positions Relative to IHI
Symbol Grade Weight
ABT D -16.16%
ISRG A -14.01%
SYK B -10.2%
BSX B -5.16%
EW B -4.76%
BDX F -4.49%
DXCM F -4.4%
GEHC C -4.34%
MDT D -4.31%
IDXX D -4.25%
RMD D -3.72%
ZBH F -2.93%
STE D -2.89%
HOLX C -2.3%
BAX D -2.24%
PODD C -1.85%
TFX B -1.33%
GMED A -1.03%
PEN D -0.91%
GKOS B -0.8%
MASI F -0.68%
TMDX C -0.66%
INSP F -0.53%
ITGR D -0.52%
AXNX B -0.46%
IRTC D -0.41%
NVST F -0.38%
PRCT C -0.38%
LIVN F -0.38%
TNDM D -0.34%
NARI C -0.34%
ENOV F -0.3%
CNMD F -0.28%
IART C -0.27%
LMAT B -0.22%
NVCR D -0.22%
QDEL F -0.21%
OMCL F -0.16%
AORT B -0.14%
SILK A -0.14%
ATRC D -0.14%
ATEC D -0.13%
VREX F -0.08%
SRDX A -0.08%
SIBN D -0.07%
OFIX C -0.07%
TMCI C -0.04%
NVRO F -0.04%
AXGN C -0.04%
FNA F -0.03%
SENS D -0.0%
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