Data as of Sep 12, 2026. Both funds on the fields they both publish, from the same sources.
INDA vs VYMI: how they differ
INDA and VYMI hold 0% of their weight in the same names, and VYMI returned more over the year.
iShares MSCI India ETF and Vanguard International High Dividend Yield Index Fund.
What they hold in common
By the books each fund has filed, INDA and VYMI hold 0% of their money in the same securities at the same weight.
| Only in INDA | Only in VYMI |
|---|---|
| RELIANCE INDUSTRIES LIMITED 6.23% | HSBC Holdings PLC 1.73% |
| HDFC BANK LIMITED 6.15% | Novartis AG 1.56% |
| ICICI BANK LIMITED 4.68% | Nestle SA 1.44% |
| BHARTI AIRTEL LIMITED 3.63% | Shell PLC 1.43% |
| INFOSYS LIMITED 2.92% | Royal Bank of Canada 1.38% |
| AXIS BANK LIMITED 2.23% | Commonwealth Bank of Australia 1.15% |
| MAHINDRA AND MAHINDRA LIMITED 2.20% | Toyota Motor Corp 1.12% |
| LARSEN AND TOUBRO LIMITED 2.13% | Mitsubishi UFJ Financial Group Inc 1.08% |
Weight overlap is an ETFIQ calculation: for every security both funds hold, the smaller of the two weights, summed. Above 50%, holding both is close to holding one of them twice. Holdings dated Apr 30, 2026 and May 31, 2026.
| INDA iShares MSCI India ETF | VYMI Vanguard International High Dividend Yield Index Fund | |
|---|---|---|
| Where it sits | Core index fund | Core index fund |
| Issuer | iShares | Vanguard |
| What it is | MSCI India | International High Dividend Yield |
| Total return, 1 year | −8.8% | +28.2% |
| S&P 500 over the same days | +17.5% | +17.5% |
| Gap to the S&P 500 | −26.3 pts | +10.7 pts |
| Expense ratio | 0.61% | 0.07% |
| Already in the S&P 500 | 0.0% | 0.1% |
| Holdings | 169 | 1582 |
INDA in plain words
INDA is an index equity fund tracking the MSCI India. Over the year to Sep 11, 2026 it returned −8.8% with distributions reinvested, against +17.5% for the S&P 500 and +23.0% for the Nasdaq-100. The prospectus expense ratio is 0.61% a year. By its holdings filed for May 31, 2026, 0% of the fund by weight is stocks the S&P 500 also holds, across 169 positions, with the top ten at 33.7%. It sat 17.4% below its high of Sep 26, 2024 on Sep 11, 2026.
VYMI in plain words
VYMI is an index equity fund tracking the International High Dividend Yield. Over the year to Sep 11, 2026 it returned +28.2% with distributions reinvested, against +17.5% for the S&P 500 and +23.0% for the Nasdaq-100. The prospectus expense ratio is 0.07% a year. By its holdings filed for Apr 30, 2026, 0% of the fund by weight is stocks the S&P 500 also holds, across 1582 positions, with the top ten at 13.5%.
Questions people ask
- Which returned more over the last year, INDA or VYMI?
- In the year to Sep 12, 2026, with distributions reinvested, INDA returned −8.8% and VYMI returned +28.2%, so VYMI returned more. One year is one year; the longer windows are in the table.
- Which is cheaper, INDA or VYMI?
- INDA charges 0.61% a year and VYMI charges 0.07%, so VYMI is cheaper. Fees come from each fund's prospectus.
- How much do INDA and VYMI overlap with the S&P 500?
- By their latest filed holdings, 0% of INDA and 0% of VYMI by weight is stocks the S&P 500 already holds. Between the two funds, 0% of their books are the same securities at the same weight.
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Where these figures came from
ETFIQ links to the documents behind every figure. It is not affiliated with any issuer, and a link is not an endorsement.
Cite this page. ETFIQ, INDA against VYMI, data as of Sep 12, 2026. https://etfiq.com/compare/any/INDA-VYMI Free to use with attribution; the underlying files are at Open data.
A comparison is not a recommendation. Standards and sources