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VIGI vs RWL

Comparison between VANGUARD INTERNATIONAL DIVIDEND APPRECIATION INDEX FUND ETF SHARES (VIGI, ETF) and INVESCO S&P 500 REVENUE ETF (RWL, ETF).

5-Year PerformanceRWL has outperformed VIGI, delivering a return of +13.5% compared to +4.3%

VIGI vs RWL - Performance Comparison

Key Characteristics

Financial metrics and valuation ratios

Net Assets
Winner
VIGI
$9.20B
RWL
$9.10B
Expense Ratio
Winner
VIGI
0.07%
RWL
0.39%
Max Drawdown
Winner
VIGI
34.17%
RWL
55.30%
Sharpe Ratio
VIGI
0.23
Winner
RWL
2.14
5Y Beta
Winner
VIGI
0.62
RWL
0.69
P/E Ratio
VIGI
N/A
RWL
25.09
Forward P/E
VIGI
N/A
RWL
17.14
5Y Dividends CAGR
Winner
VIGI
19.21%
RWL
7.54%
5Y EPS CAGR
VIGI
N/A
RWL
13.95%
Debt to Equity
VIGI
N/A
RWL
3.95%
P/S Ratio
VIGI
N/A
RWL
0.88
P/B Ratio
VIGI
N/A
RWL
3.15

VIGI vs RWL - Holdings Comparison

VIGI and RWL have 1 common holdings. Overlap is -0.69%

VIGI's top 25 holdings weight is 59.58%. RWL's top 25 holdings weight is 38.97%.

RankVIGIRWL
#1
ROYAL BANK OF CANADA (n/a) - 4.30%
AMAZON.COM INC (AMZN) - 4.03%
#2
NESTLE SA (n/a) - 3.89%
WALMART INC (WMT) - 3.36%
#3
MITSUBISHI UFJ FINANCIAL GROUP INC (n/a) - 3.86%
UNITEDHEALTH GROUP INC (UNH) - 3.17%
#4
NOVARTIS AG REGISTERED SHARES (n/a) - 3.58%
CVS HEALTH CORP (CVS) - 2.53%
#5
ROCHE HOLDING AG ORDINARY SHARES NEW (n/a) - 3.37%
APPLE INC (AAPL) - 2.38%
#6
THE TORONTO-DOMINION BANK (n/a) - 3.28%
BERKSHIRE HATHAWAY INC CLASS B (BRK-B) - 1.80%
#7
SCHNEIDER ELECTRIC SE (n/a) - 3.12%
CENTENE CORP (CNC) - 1.76%
#8
SAP SE (n/a) - 3.10%
MCKESSON CORP (MCK) - 1.64%
#9
HITACHI LTD (n/a) - 2.64%
EXXON MOBIL CORP (XOM) - 1.56%
#10
IBERDROLA SA (n/a) - 2.64%
THE CIGNA GROUP (CI) - 1.52%
#11
SUMITOMO MITSUI FINANCIAL GROUP INC (n/a) - 2.47%
MICROSOFT CORP (MSFT) - 1.49%
#12
NOVO NORDISK AS CLASS B (n/a) - 2.46%
JPMORGAN CHASE & CO (JPM) - 1.49%
#13
MITSUBISHI CORP (n/a) - 2.34%
n/a (DELL) - 1.44%
#14
SONY GROUP CORP (n/a) - 2.23%
ELEVANCE HEALTH INC (ELV) - 1.43%
#15
AIA GROUP LTD (n/a) - 2.09%
COSTCO WHOLESALE CORP (COST) - 1.37%
#16
CANADIAN IMPERIAL BANK OF COMMERCE (CM) - 1.88%
HUMANA INC (HUM) - 1.35%
#17
RELIANCE INDUSTRIES LTD (n/a) - 1.86%
CENCORA INC (COR) - 1.27%
#18
n/a (BN) - 1.80%
CARDINAL HEALTH INC (CAH) - 1.18%
#19
TOKIO MARINE HOLDINGS INC (n/a) - 1.61%
NVIDIA CORP (NVDA) - 1.18%
#20
BAE SYSTEMS PLC (n/a) - 1.51%
ALPHABET INC CLASS C (GOOG) - 1.16%
#21
RELX PLC (n/a) - 1.20%
ORACLE CORP (ORCL) - 0.38%
#22
MURATA MANUFACTURING CO LTD (n/a) - 1.11%
LOWE'S COMPANIES INC (LOW) - 0.37%
#23
CANADIAN NATIONAL RAILWAY CO (n/a) - 1.11%
ELI LILLY AND CO (LLY) - 0.37%
#24
LONDON STOCK EXCHANGE GROUP PLC (n/a) - 1.07%
SYSCO CORP (SYY) - 0.37%
#25
NATIONAL BANK OF CANADA (n/a) - 1.06%
HP INC (HPQ) - 0.37%
Total Holdings391455

VIGI vs RWL - Historical Returns

Returns include dividend reinvestment.

1M
VIGI
+2.07%
Winner
RWL
+4.07%
3M
VIGI
+5.03%
Winner
RWL
+11.29%
6M
VIGI
+3.46%
Winner
RWL
+12.71%
1Y
VIGI
+6.95%
Winner
RWL
+28.31%
5Y(CAGR)
VIGI
+4.29%
Winner
RWL
+13.53%
10Y(CAGR)
VIGI
+8.29%
Winner
RWL
+14.37%
Max(CAGR)
VIGI
+8.46%
Winner
RWL
+11.33%

VIGI vs RWL - Annual Returns (2008 - 2026)

Returns include dividend reinvestment.

YearVIGIRWL
2026+3.13%+12.69%
2025+17.05%+18.96%
2024+4.06%+15.91%
2023+15.56%+17.70%
2022-16.86%-6.69%
2021+11.78%+31.55%
2020+13.69%+8.40%
2019+27.88%+27.15%
2018-12.37%-8.46%
2017+27.41%+18.98%
2016+2.83%+13.58%
2015N/A-1.29%
2014N/A+14.33%
2013N/A+34.50%
2012N/A+16.05%
2011N/A-1.00%
2010N/A+15.28%
2009N/A+26.40%
2008N/A-34.19%

VIGI vs RWL Drawdown Comparison

The maximum drawdown for VIGI was -31.00%, occurring on Mar 23, 2020. Recovery took 158 trading sessions.

The maximum drawdown for RWL was -54.83%, occurring on Mar 9, 2009. Recovery took 688 trading sessions.

The current VIGI drawdown is -1.64%.

RankVIGIRWL
#1-31.00%
Jan 17, 2020 - Sep 2, 2020
-54.83%
May 15, 2008 - Feb 8, 2011
#2-28.78%
Sep 7, 2021 - Jul 10, 2024
-36.03%
Feb 12, 2020 - Nov 9, 2020
#3-19.50%
Jan 26, 2018 - Jul 2, 2019
-21.38%
Apr 29, 2011 - Feb 27, 2012
#4-14.50%
Sep 26, 2024 - May 19, 2025
-19.49%
Sep 21, 2018 - Jul 3, 2019
#5-10.85%
Sep 6, 2016 - Mar 28, 2017
-17.50%
Apr 20, 2022 - Jul 11, 2023
#6-10.63%
Feb 27, 2026 - Mar 27, 2026
-15.27%
May 21, 2015 - Jul 11, 2016
#7-7.36%
Jul 3, 2019 - Oct 30, 2019
-14.39%
Feb 19, 2025 - Jun 27, 2025
#8-6.49%
Oct 12, 2020 - Nov 5, 2020
-11.74%
Jan 26, 2018 - Sep 20, 2018
#9-6.48%
Jun 8, 2016 - Jul 12, 2016
-10.32%
Mar 26, 2012 - Aug 16, 2012
#10-5.63%
Apr 19, 2016 - Jun 6, 2016
-10.20%
Feb 26, 2008 - Apr 25, 2008
#11-5.55%
Jul 31, 2024 - Aug 16, 2024
-9.19%
Jul 31, 2023 - Dec 8, 2023
#12-5.35%
Feb 12, 2021 - Apr 16, 2021
-7.72%
Sep 19, 2014 - Nov 5, 2014
#13-5.15%
Jul 23, 2025 - Oct 3, 2025
-6.84%
Oct 18, 2012 - Dec 18, 2012
#14-4.38%
Oct 20, 2025 - Dec 11, 2025
-6.80%
Jul 12, 2019 - Sep 11, 2019
#15-4.09%
Jan 21, 2021 - Feb 8, 2021
-6.75%
Jan 11, 2022 - Mar 25, 2022

Correlation

Correlation between VIGI and RWL is 0.96 which considered as a very strong positive correlation - the stocks move almost identically together.

0.96
-101

Dividend Comparison (2008 - 2026)

VIGI vs RWL dividend yield comparison.

YearVIGIRWL
20260.60%0.33%
20252.14%1.35%
20241.93%1.43%
20231.92%1.60%
20222.06%1.62%
20217.02%1.35%
20201.29%1.75%
20191.83%1.87%
20181.99%1.99%
20171.75%1.60%
20161.05%1.71%
20150.00%1.97%
20140.00%1.43%
20130.00%1.61%
20120.00%1.89%
20110.00%1.85%
20100.00%1.34%
20090.00%1.32%
20080.00%1.21%

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