ETF Comparison

Compare ETFs and analyze holdings overlap

See AIQ vs TUEX overlap
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AIQ Global X

Global X Artificial Intelligence & Technology Index ETF 

Equity
MER
0.60%
Yield
0.07%
Price
$35.52
Holdings
90
AUM
$29.8M
Inception
May 2024

TD Active U.S. Enhanced Dividend CAD Hedged ETF

Equity
MER
0.73%
Yield
2.67%
Price
$32.33
Holdings
520
AUM
$12.9M
Inception
Apr 2023

Performance Comparison

ETF 1M 3M 6M YTD 1Y 3Y 5Y 10Y Since Inception
AIQ 16.83% 7.31% 2.16% 8.82% 49.64% 29.42% (May 2024)
TUEX 10.96% 5.89% 6.10% 30.61% 23.40% 23.65% (Apr 2023)
As of: As at April 30, 2026
3Y, 5Y, 10Y, and Since Inception returns are annualized.

Calendar Year Returns

Last six full-calendar years

ETF 2025 2024 2023 2022 2021 2020
AIQ 25.91%
TUEX
As of: As at April 30, 2026

Growth of $10,000

Initial Investment
$
Monthly Contribution
$

TWR = Time-Weighted Return (measures fund performance). MWRR = Money-Weighted Return (measures your personal return including contribution timing). Past performance does not guarantee future results.

AIQ — Mix

Geographic Allocation
United States 67.6%
Korea, Republic Of 8.9%
Taiwan 5.1%
Germany 4.6%
China 3.2%
Hong Kong 2.1%
Canada 2.1%
Japan 1.9%
Sector Allocation
Information Technology 73.2%
Communication Services 12.0%
Consumer Goods 8.5%
Industrial Services 5.8%
Health Care 0.4%
Other 0.1%

TUEX — Mix

Geographic Allocation
Other 99.8%
Canada 0.2%
Sector Allocation
Other 99.8%

Top 10 Holdings

Latest reported top holdings for each ETF

AIQ Global X Artificial Intelligence & Technology Index ETF 

Holdings sourced from US Global X AIQ (same underlying index).
# Holding Weight
1 SK HYNIX INC 6.28%
2 MICRON TECHNOLOGY INC 4.76%
3 SAMSUNG ELECTRONICS CO LTD 4.69%
4 INTEL CORP 4.66%
5 ADVANCED MICRO DEVICES 4.65%
6 CISCO SYSTEMS INC 4.08%
7 BROADCOM INC 3.21%
8 APPLE INC 3.14%
9 TAIWAN SEMICONDUCTOR-SP ADR 3.12%
10 NVIDIA CORP 2.94%

TUEX TD Active U.S. Enhanced Dividend CAD Hedged ETF

Holdings estimated via XSP (S&P 500 CAD Hedged Index).
# Holding Weight
1 NVIDIA CORP 8.45%
2 APPLE INC 7.09%
3 MICROSOFT CORP 4.93%
4 AMAZON.COM INC 4.15%
5 ALPHABET INC CLASS A 3.58%
6 BROADCOM INC 3.11%
7 ALPHABET INC CLASS C 2.84%
8 META PLATFORMS INC CLASS A 2.1%
9 TESLA INC 1.86%
10 BERKSHIRE HATHAWAY INC CLASS B 1.39%
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