VIDI vs. ESGG ETF Comparison

Comparison of Vident International Equity Fund (VIDI) to FlexShares STOXX Global ESG Impact Index Fund (ESGG)
VIDI

Vident International Equity Fund

VIDI Description

The investment seeks to track the price and total return performance, before fees and expenses, of the Vident International Equity IndexTM (the "index"). The index is a rules-based, systematic strategy index comprised of equity securities of issuers in developed and emerging markets outside of the United States. Under normal circumstances, at least 80% of the fund's total assets (exclusive of collateral held from securities lending) will be invested in the component securities of the index and investments that have economic characteristics that are substantially identical to the economic characteristics of such component securities. It is non-diversified.

Grade (RS Rating)

Last Trade

$25.98

Average Daily Volume

23,305

Number of Holdings *

17

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

FlexShares STOXX Global ESG Impact Index Fund

ESGG Description Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the STOXX Global ESG Impact Index.

Grade (RS Rating)

Last Trade

$169.93

Average Daily Volume

4,336

Number of Holdings *

172

* may have additional holdings in another (foreign) market
Performance
Period VIDI ESGG
30 Days -2.00% -1.15%
60 Days -0.13% -0.76%
90 Days 0.30% 0.43%
12 Months 15.81% 20.70%
3 Overlapping Holdings
Symbol Grade Weight in VIDI Weight in ESGG Overlap
MDT D 0.62% 0.21% 0.21%
NVS F 0.45% 0.48% 0.45%
STLA F 0.35% 0.05% 0.05%
VIDI Overweight 14 Positions Relative to ESGG
Symbol Grade Weight
ZIM C 0.73%
JAZZ B 0.61%
JHG B 0.6%
AER A 0.57%
ALKS C 0.56%
BAP A 0.55%
KT A 0.53%
CB C 0.53%
SKM C 0.47%
AKO.A F 0.44%
GES F 0.35%
ICLR D 0.33%
PAGS F 0.26%
INMD C 0.19%
VIDI Underweight 169 Positions Relative to ESGG
Symbol Grade Weight
AMZN C -5.56%
AAPL C -5.04%
META D -5.0%
MSFT D -4.91%
JPM A -3.41%
XOM B -2.67%
BRK.A B -2.43%
AVGO D -2.36%
JNJ C -2.19%
LLY F -2.0%
CVX A -1.66%
WMT A -1.47%
ACN B -1.36%
PG C -1.18%
UNH B -1.09%
MRK D -0.99%
COST A -0.83%
IBM C -0.76%
KO D -0.74%
ADBE C -0.71%
AMD F -0.68%
CRM B -0.65%
ORCL A -0.6%
BLK B -0.59%
ABT B -0.59%
DIS B -0.58%
SONY B -0.57%
MU D -0.56%
TJX A -0.55%
QCOM F -0.55%
TXN C -0.55%
GS A -0.55%
SYK B -0.54%
C A -0.52%
CSCO B -0.48%
AMAT F -0.46%
INTC C -0.44%
ICE C -0.44%
NOW A -0.42%
INTU B -0.4%
HSBH B -0.4%
ELV F -0.37%
VRTX D -0.36%
TM F -0.34%
BKNG A -0.34%
MUFG B -0.33%
CRWD B -0.31%
UL D -0.31%
LOW C -0.3%
UNP C -0.29%
UBER F -0.29%
PFE F -0.28%
AMT C -0.27%
APO B -0.27%
ADSK A -0.27%
PANW B -0.26%
BMY B -0.25%
GM C -0.25%
USB A -0.24%
SLB C -0.24%
SNPS B -0.24%
WELL A -0.23%
NXPI D -0.23%
GILD C -0.23%
ZTS D -0.23%
CTAS B -0.22%
GEHC D -0.21%
MAR A -0.2%
TGT F -0.2%
HPQ B -0.19%
CBRE B -0.19%
LRCX F -0.19%
HLT A -0.18%
CI D -0.18%
CMG B -0.17%
NKE F -0.17%
MDLZ F -0.17%
TT A -0.17%
LULU C -0.15%
CL D -0.15%
KMB C -0.13%
EA A -0.13%
EW C -0.13%
DEO F -0.13%
CVS D -0.13%
HUBS A -0.13%
ABBV F -0.13%
ROST D -0.13%
TD D -0.13%
LYG D -0.12%
VICI C -0.11%
TRV B -0.11%
GIS D -0.11%
BCS A -0.11%
IT C -0.11%
KR B -0.11%
WDC D -0.1%
NEM D -0.1%
OMC C -0.1%
AEP C -0.1%
HMC F -0.1%
HPE B -0.1%
IRM C -0.1%
WSM C -0.1%
IQV F -0.1%
MET A -0.09%
WTW B -0.09%
CTSH B -0.09%
E F -0.09%
NU C -0.09%
PEG A -0.09%
CNI F -0.09%
CMI A -0.09%
OTIS C -0.08%
BBY D -0.08%
DFS B -0.08%
YUM D -0.08%
WY F -0.08%
AWK C -0.08%
TSCO D -0.08%
NTAP C -0.07%
DOC C -0.07%
CLX A -0.07%
DECK A -0.07%
EIX B -0.06%
CAH B -0.06%
LII A -0.06%
EBAY D -0.06%
CCEP C -0.06%
VTR B -0.06%
HOLX D -0.06%
GEN B -0.06%
CCL A -0.06%
BALL F -0.05%
K A -0.05%
XRX F -0.05%
ESS B -0.05%
ARE F -0.05%
HSY F -0.05%
ACM B -0.04%
EL F -0.04%
NVT B -0.04%
PNR A -0.04%
JBL C -0.04%
EXPE B -0.04%
MRNA F -0.03%
AES F -0.03%
XPO B -0.03%
TFX F -0.03%
PSTG D -0.03%
IPG D -0.03%
AKAM D -0.03%
DOX D -0.03%
DPZ C -0.03%
SNAP D -0.03%
MRO B -0.03%
BAX F -0.03%
SMCI F -0.03%
FFIV B -0.03%
PFG D -0.03%
FDS B -0.03%
SUI C -0.03%
OKTA C -0.02%
HST C -0.02%
LOGI D -0.02%
AGCO D -0.02%
QGEN D -0.02%
DLTR F -0.02%
AEI D -0.01%
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