ESPO vs ATOM

  • ESPO
  • ATOM

ESPO and ATOM hold at least 79 companies between them. None is in both, and 0% of each fund is the same companies.

In both · 0%ESPO only · 100%

Side by side

FundVanEckGlobal X
Asset classSector & thematicSector & thematic
Fee a year0.55%0.69%
Fund size$81.0m$152.0m
Holdings2658
1Y price return−30.9%−31.4%
Distribution yield13.08%9.28%
Look-through coverage100.0%90.5%

Return, last year

change since the start
share of each fund
  • ESPO
  • ATOM
  • CCO CAMECO CORPIn 1 of 2ESPOnot heldATOM22.0%
  • 700 Tencent Holdings LtdIn 1 of 2ESPO8.1%ATOMnot held
  • NTES Netease IncIn 1 of 2ESPO7.5%ATOMnot held
  • 7974 NINTENDO CO LTDIn 1 of 2ESPO7.4%ATOMnot held
  • TTWO Take-Two Interactive Software IncIn 1 of 2ESPO6.3%ATOMnot held

and 69 more companies the funds hold

How alike they are

Keep going

See ESPO + ATOM as one portfolioEvery company, where you'd own it twiceWhat moved ESPO this monthIts biggest gains and falls, by company