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Data as of .

BAI vs KOID: which is really different?

BAI and KOID hold 5% of their weight in the same names, and BAI returned more over the year.

iShares A.I. Innovation and Tech Active ETF and KraneShares Global Humanoid Robotics and Physical AI Index ETF.

55.6%BAI in the S&P 500
24.3%KOID in the S&P 500
+32.2%BAI total return, 1 year
+10.8%KOID total return, 1 year

ETFIQ Off-Index Score: KOID scores higher

How much of it is not the index it is sold as an alternative to?

BAI 8.6KOID 29.70.1, the lowest in this set91.8, the highest

A percentile among the 379 thematic ETFs with a holdings filing. It is a position in a set, not a rating, and neither end of it is a recommendation. All thematic ETFs ranked by it · How it is computed

BAI44% of its weight is outside the S&P 500 · 1 year to Sep 18, 2026
56%44%of its weight in S&P 500 companiesof its weight outside the S&P 500active share 76% · top ten 42% of the fund · 55 holdings filed Sep 17, 2026 · Nasdaq-100: 50% in56%44%in the S&P 500outsideactive share 76% · top ten 42% of the fund
KOID76% of its weight is outside the S&P 500 · 1 year to Sep 18, 2026
24%76%in the S&P 500of its weight outside the S&P 500active share 94% · top ten 24% of the fund · 60 holdings filed Sep 18, 2026 · Nasdaq-100: 12% in24%76%inoutside the S&P 500active share 94% · top ten 24% of the fund

5% of the two portfolios are the same securities at the same weight.

What they hold in common

By the books each fund has filed, BAI and KOID hold 5% of their money in the same securities at the same weight.

Positions BAI and KOID both hold, largest shared weight first
HoldingBAIKOID
NVIDIA5.31%2.30%
CREDO TECHNOLOGY GROUP HOLDING LTD1.58%1.45%
TESLA INC0.92%2.08%
Only in each
Only in BAIOnly in KOID
MICRON TECHNOLOGY 6.62%DOOSAN CO LTD 2.60%
ADVANCED MICRO DEVICES 5.20%HEXAGON AB-B SHS 2.59%
TAIWAN SEMICONDUCTOR MANUFACTURING 4.68%NIDEC CORP 2.46%
BROADCOM INC 4.61%ALLIENT INC 2.39%
LAM RESEARCH 3.85%RAINBOW ROBOTICS 2.36%
SPACE EXPLORATION TECHNOLOGIES COR 3.05%TE CONNECTIVITY PLC 2.27%
INTEL CORPORATION 3.01%MAGNA INTERNATIONAL INC 2.23%
SNOWFLAKE 2.97%TERADYNE INC 2.21%

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 Sep 18, 2026.

Performance, window by window

BAI and KOID over each window. Every figure is an ETFIQ calculation with distributions reinvested. Source: ETFIQ.
WindowTotal returnvs the S&P 500vs the Nasdaq-100
BAIKOIDBAIKOIDBAIKOID
3 months−15.2%−15.6%−17.4 pts−17.8 pts−12.7 pts−13.1 pts
6 months+34.8%+15.3%+16.8 pts−2.8 pts+10.6 pts−9.0 pts
1 year+32.2%+10.8%+15.7 pts−5.8 pts+10.4 pts−10.9 pts
Since launch+83.4%+41.5%+49.9 pts+11.0 pts+36.7 pts+3.2 pts
Open the live comparison on ETFIQ
BAI and KOID on the same fields, as of Sep 18, 2026. Source: ETFIQ.
BAI
iShares A.I. Innovation and Tech Active ETF
Holds 55 stocks in artificial intelligence, 56% of its weight in S&P 500 companies
KOID
KraneShares Global Humanoid Robotics and Physical AI Index ETF
Holds 60 stocks in artificial intelligence, 24% of its weight in S&P 500 companies
IssueriSharesKraneShares
ThemeArtificial intelligenceArtificial intelligence
In the S&P 50055.6%24.3%
Active share vs the S&P 50076.4%94.2%
In the Nasdaq-10050.0%12.1%
Holdings5560
Top ten, share of the fund42.2%23.6%
Expense ratio0.55%0.69%
Fee for the differing part0.72%0.73%
Total return, 1 year+32.2%+10.8%
vs the S&P 500+15.7 pts−5.8 pts
vs the Nasdaq-100+10.4 pts−10.9 pts
Below its high−16.8%−17.9%
Net assets$14.4bn$338m

BAI in plain words

By weight, 56% of BAI's portfolio is stocks that are also in the S&P 500; its active share against the S&P 500 is 76%. The top ten holdings are 42% of the fund across 55 positions, as published by its issuer for Sep 18, 2026. Over the year to Sep 18, 2026 the fund returned +32.2% with distributions reinvested against +16.6% for the S&P 500, so a holder was ahead by 15.7 pts. It sits 16.8% below its all-time high of Jun 22, 2026.

KOID in plain words

By weight, 24% of KOID's portfolio is stocks that are also in the S&P 500; its active share against the S&P 500 is 94%. The top ten holdings are 24% of the fund across 60 positions, as published by its issuer for Sep 18, 2026. Over the year to Sep 18, 2026 the fund returned +10.8% with distributions reinvested against +16.6% for the S&P 500, so a holder was behind by 5.8 pts. It sits 17.9% below its all-time high of May 26, 2026.

Questions people ask

Do BAI and KOID hold the same stocks?
By their latest filings, 5% of their books are the same securities at the same weight, which is mostly different names. Overlap is the sum of the smaller weight of every security they share.
Which is more different from the S&P 500, BAI or KOID?
BAI has 56% of its weight in S&P 500 names and KOID has 24%, so KOID differs more from the index.
Which is cheaper, BAI or KOID?
BAI charges 0.55% a year and KOID charges 0.69%, so BAI is cheaper. Fees come from each fund's prospectus.

Other comparisons

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.

BAI against KOID, ETFIQ, data as of Sep 18, 2026. Every figure is calculated from a named public source; the method is at etfiq.com/methodology. A comparison is not a recommendation.

Cite this page. ETFIQ, BAI against KOID, data as of Sep 18, 2026. https://etfiq.com/compare/themes/bai-vs-koid Free to use with attribution; the underlying files are at Open data.

How every figure is computed · Standards and sources