StockComparison Logo
vs

BAIV vs YALL

Comparison between Brown Advisory International Value Select ETF (BAIV, ETF) and GOD BLESS AMERICA ETF (YALL, ETF).

BAIV vs YALL - Performance Comparison

Key Characteristics

Financial metrics and valuation ratios

Net Assets
BAIV
$97M
YALL
$97M
Expense Ratio
Winner
BAIV
0.60%
YALL
0.65%
Max Drawdown
Winner
BAIV
11.41%
YALL
20.11%
Sharpe Ratio
BAIV
0.11
Winner
YALL
0.16
5Y Beta
Winner
BAIV
0.93
YALL
0.98
P/E Ratio
BAIV
N/A
YALL
43.86
Forward P/E
BAIV
N/A
YALL
15.75
PEG Ratio
BAIV
N/A
YALL
-0.27
5Y EPS CAGR
BAIV
N/A
YALL
29.20%
Debt to Equity
BAIV
N/A
YALL
145.21%
P/S Ratio
BAIV
N/A
YALL
2.79
P/B Ratio
BAIV
N/A
YALL
4.23

BAIV vs YALL - Holdings Comparison

BAIV and YALL have 1 common holdings. Overlap is 0.00%

BAIV's top 25 holdings weight is 59.28%. YALL's top 25 holdings weight is 84.50%.

RankBAIVYALL
#1
ICON PLC (ICLR) - 4.65%
BROADCOM INC (AVGO) - 8.48%
#2
THE MAGNUM ICE CREAM CO NV (n/a) - 3.99%
NVIDIA CORP (NVDA) - 7.90%
#3
BRENNTAG SE (n/a) - 3.35%
TESLA INC (TSLA) - 6.69%
#4
EDENRED SE (n/a) - 2.67%
ELECTRONIC ARTS INC (EA) - 4.54%
#5
SANOFI SA ADR (SNY) - 2.67%
BOEING CO (BA) - 4.49%
#6
BRITISH AMERICAN TOBACCO PLC ADR (BTI) - 2.65%
PALANTIR TECHNOLOGIES INC ORDINARY SHARES CLASS A (PLTR) - 4.48%
#7
AIB GROUP PLC (n/a) - 2.54%
COSTCO WHOLESALE CORP (COST) - 4.39%
#8
BARCLAYS PLC (n/a) - 2.35%
REGIONS FINANCIAL CORP (RF) - 4.08%
#9
DCC PLC (n/a) - 2.28%
CHARLES SCHWAB CORP (SCHW) - 4.04%
#10
CHEMICAL WORKS OF GEDEON RICHTER PLC (n/a) - 2.20%
AMGEN INC (AMGN) - 3.58%
#11
ADECCO GROUP AG (n/a) - 2.20%
HCA HEALTHCARE INC (HCA) - 3.52%
#12
NICE LTD ADR (NICE) - 2.19%
MARA HOLDINGS INC (MARA) - 3.39%
#13
SUMITOMO MITSUI TRUST GROUP INC (n/a) - 2.19%
WASTE MANAGEMENT INC (WM) - 2.88%
#14
FRESENIUS MEDICAL CARE AG (n/a) - 2.05%
CHARTER COMMUNICATIONS INC CLASS A (CHTR) - 2.67%
#15
RAIFFEISEN BANK INTERNATIONAL AG (n/a) - 2.01%
DANAHER CORP (DHR) - 2.22%
#16
ABC-MART INC (n/a) - 2.00%
COPART INC (CPRT) - 2.01%
#17
RANDSTAD NV (n/a) - 1.99%
CSX CORP (CSX) - 1.87%
#18
WOLTERS KLUWER NV (n/a) - 1.97%
STRATEGY INC CLASS A (MSTR) - 1.85%
#19
SODEXO (n/a) - 1.96%
OCCIDENTAL PETROLEUM CORP (OXY) - 1.85%
#20
BNP PARIBAS ACT. CAT.A (n/a) - 1.94%
NEWMONT CORP (NEM) - 1.83%
#21
FDJ UNITED ORDINARY SHARES (n/a) - 1.93%
EOG RESOURCES INC (EOG) - 1.68%
#22
WPP PLC (n/a) - 1.91%
COINBASE GLOBAL INC ORDINARY SHARES CLASS A (COIN) - 1.66%
#23
PRUDENTIAL PLC (n/a) - 1.91%
PROLOGIS INC (PLD) - 1.52%
#24
ASSOCIATED BRITISH FOODS PLC (n/a) - 1.85%
CINTAS CORP (CTAS) - 1.45%
#25
DENTSU GROUP INC (n/a) - 1.83%
NUCOR CORP (NUE) - 1.43%
Total Holdings5542

BAIV vs YALL - Historical Returns

Returns include dividend reinvestment.

1M
Winner
BAIV
+3.02%
YALL
-2.80%
3M
Winner
BAIV
+10.14%
YALL
-0.29%
6M
BAIV
N/A
YALL
-1.72%
1Y
BAIV
N/A
YALL
+5.22%
Max(CAGR)
BAIV
+4.22%
Winner
YALL
+24.77%

BAIV vs YALL - Annual Returns (2022 - 2026)

Returns include dividend reinvestment.

YearBAIVYALL
2026+1.21%-1.25%
2025N/A+15.07%
2024N/A+30.10%
2023N/A+41.59%
2022N/A+8.62%

BAIV vs YALL Drawdown Comparison

The maximum drawdown for BAIV was -11.41%, occurring on Mar 20, 2026. Recovery took 66 trading sessions.

The maximum drawdown for YALL was -19.73%, occurring on Apr 8, 2025. Recovery took 102 trading sessions.

The current YALL drawdown is -5.30%.

RankBAIVYALL
#1-11.41%
Feb 26, 2026 - Jun 2, 2026
-19.73%
Dec 16, 2024 - May 15, 2025
#2-1.54%
Jun 4, 2026 - Jun 11, 2026
-12.03%
Jul 26, 2023 - Dec 1, 2023
#3-0.92%
Jun 2, 2026 - Jun 4, 2026
-9.42%
Oct 6, 2025 - Mar 30, 2026
#4N/A-9.18%
Feb 15, 2023 - May 26, 2023
#5N/A-8.71%
Mar 27, 2024 - Jun 5, 2024
#6N/A-7.39%
Jul 31, 2024 - Aug 23, 2024
#7N/A-7.31%
Nov 30, 2022 - Jan 23, 2023
#8N/A-5.23%
Aug 23, 2024 - Sep 23, 2024
#9N/A-3.68%
Dec 27, 2023 - Feb 1, 2024
#10N/A-3.55%
Nov 11, 2024 - Nov 22, 2024
#11N/A-3.48%
Jul 23, 2025 - Aug 8, 2025
#12N/A-3.21%
May 19, 2025 - Jun 24, 2025
#13N/A-2.91%
Aug 13, 2025 - Sep 12, 2025
#14N/A-2.85%
Oct 28, 2022 - Nov 10, 2022
#15N/A-2.83%
Oct 18, 2024 - Nov 6, 2024

Correlation

Correlation between BAIV and YALL is 0.64 which considered as a moderate positive correlation - the stocks show some tendency to move together.

0.64
-101

Select Stocks to Compare