ETF Comparison

Compare ETFs and analyze holdings overlap

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TD Q U.S. Low Volatility ETF

US Equity
MER
0.34%
Yield
1.78%
Price
$23.12
Holdings
80
AUM
$52.1M
Inception
May 2020
Asset Allocation
100%
Stocks 100%
XTOT iShares

iShares Core S&P U.S. Total Market Index ETF (CAD-hedged)

US Equity
MER
0.07%
Yield
0.54%
Price
$51.82
Holdings
2,588
AUM
$5.4B
Inception
May 2025
Asset Allocation
100%
Stocks 100%

Performance Comparison

ETF 1M 3M 6M YTD 1Y 3Y 5Y 10Y Since Inception
TULV -1.37% -0.46% 2.93% 5.07% 7.61% 8.85% 9.04% (May 2020)
XTOT 6.47% 11.53% 10.13% 12.03% 29.98% 29.50% (May 2025)
As of: June 18, 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
TULV
XTOT
As of: June 18, 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.

TULV — Mix

Geographic Allocation
United States 99.5%
European Union 0.5%
Sector Allocation
Consumer Goods 22.4%
Healthcare 18.8%
Utilities 17.0%
Technology 12.8%
Financial Services 12.6%
Telecommunications 8.1%
Consumer Services 4.5%
Industrial Goods 3.7%

XTOT — Mix

Geographic Allocation
United States 99.9%
Canada 0.1%
Sector Allocation
Information Technology 36.5%
Financials 11.6%
Industrials 9.7%
Consumer Discretionary 9.6%
Communication 9.6%
Health Care 8.8%
Consumer Staples 4.3%
Energy 3.3%

Top 10 Holdings

Latest reported top holdings for each ETF

TULV TD Q U.S. Low Volatility ETF

# Holding Weight
1 CBOE Global Markets Inc 3.63%
2 Alphabet Inc 3.45%
3 Cisco Systems Inc 3.29%
4 Coca-Cola Co 3.15%
5 Colgate-Palmolive Co 3.11%
6 Consolidated Edison Inc 2.93%
7 Johnson & Johnson 2.87%
8 CME Group Inc 2.79%
9 PepsiCo Inc 2.79%
10 Hershey Co 2.76%

XTOT iShares Core S&P U.S. Total Market Index ETF (CAD-hedged)

# Holding Weight
1 NVIDIA CORP 6.99%
2 APPLE INC 6.24%
3 MICROSOFT CORP 4.55%
4 AMAZON.COM INC 3.6%
5 ALPHABET INC CLASS A 3.01%
6 BROADCOM INC 2.88%
7 ALPHABET INC CLASS C 2.4%
8 META PLATFORMS INC CLASS A 1.88%
9 TESLA INC 1.67%
10 MICRON TECHNOLOGY INC 1.49%
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