BSCT vs VYM

BSCT vs VYM

Which is better, BSCT or VYM?

VYM has been ahead.

VYM has a lower expense ratio. VYM led over 1Y, 3Y, 5Y and the full window.

Lower Fees: VYMHigher Returns: VYM

MarketXLS is not an investment adviser. This comparison is generated automatically from market data and is for information only. A Best mark means the better reading on that one measure, not a recommendation to buy.

Side-by-Side Comparison

MetricBSCTVYM
Expense Ratio0.10%0.04%Best
AUM$3.0B$81.6B
Dividend Yield4.53%2.22%
Holdings466613
YTD Return+0.32%+11.35%Best
1Y Return+1.48%+15.34%Best
3Y Return (annualized)+5.86%+17.22%Best
5Y Return (annualized)+0.78%+12.30%Best
Volatility (annualized)7.2%Best15.4%
Max Drawdown-19.5%Best-35.7%
$10,000 over 5 years$10,396$17,861Best
Fund FamilyInvesco (US)Vanguard (US)
CategoryFixed IncomeEquity
Style-Large Cap Value
InceptionSep 12, 2019Nov 10, 2006

Not shown on this pair: Top 10 Weight.

Volatility and max drawdown are measured over the window both funds cover: Sep 12, 2019 to Sep 18, 2026 (7 years).

BSCT vs VYM growth

Month-end closes. Both lines start at 0% in the first month shown, so the gap between them is the difference in growth across that window. The full view covers the 7 years both funds cover.

BSCT vs VYM Performance

Invesco BulletShares 2029 Corporate Bond ETF (BSCT) is an ETF from Invesco (US) and Vanguard High Dividend Yield ETF (VYM) is an ETF from Vanguard (US). Over the past year BSCT returned +1.48% while VYM returned +15.34%. Year to date, BSCT is up 0.32% versus a gain of 11.35% for VYM.

Over three years, BSCT compounded at +5.86% per year against +17.22% for VYM; over five years the annualized figures are +0.78% and +12.30% respectively. Across the full 7-year window we track, VYM has the edge at +11.01% annualized vs +1.71%.

Past performance does not guarantee future results.

Risk: Volatility and Drawdowns

VYM has been the more volatile fund, with annualized monthly volatility of 15.4% compared with 7.2% for BSCT. Lower volatility generally means a smoother ride, though it often comes with lower long-run returns.

The deepest peak-to-trough decline in our data was -19.5% for BSCT and -35.7% for VYM. Drawdown depth is what each fund did in the worst stretch of the window measured above.

The two funds' monthly returns correlate at 0.58. They move together some of the time, and apart the rest.

Fees and Cost Over Time

BSCT charges 0.10% per year while VYM charges 0.04%. On a $10,000 position that is $10 vs $4 annually, a gap of $6 per year that compounds over a long holding period. On income, BSCT currently yields 4.53% against 2.22% for VYM.

Holdings Overlap

VYM already in BSCT1.8%

At least 1.8% of VYM's money is in holdings BSCT also owns.

Stated as a floor: for BSCT, our book for it covers 80.8% of that fund, so a holding it does not list is one we cannot count as shared. The real figure is this or higher.

VYM and BSCT share little of their money.

4 positions in common, counted across the 397 positions we hold weights for in BSCT and 557 in VYM, against full books of 466 and 613.

Top Shared Holdings

StockWeight in BSCTWeight in VYMDifference
CATCaterpillar, Inc.0.26%1.50%1.24%
KDPKEURig Dr Pepper Inc Company Guar 04/29 3.950.23%0.16%0.07%
AWKAmerican Water Works Co. Inc.0.12%0.11%0.01%
NOVNov Inc 3.6% 12/01/20290.11%0.03%0.08%

You are not choosing between two funds in isolation.

Whichever of BSCT and VYM you pick has to sit alongside everything else you own. Add the rest and see what the combination actually holds.

BSCTVYM

Free for up to 10 holdings. No account needed.

Frequently Asked Questions

Which is cheaper, BSCT or VYM?

BSCT has an expense ratio of 0.10% while VYM charges 0.04%. VYM is the cheaper option, by $6 a year on a $10,000 investment.

Which performed better, BSCT or VYM?

Over the past year BSCT returned +1.48% vs +15.34% for VYM, so VYM leads on 1-year performance. Over the longest common window we track (7 years), BSCT annualized +1.71% vs +11.01% for VYM. Past performance does not guarantee future results. This is information, not a recommendation.

Which is riskier, BSCT or VYM?

VYM has been the more volatile fund at 15.4% annualized versus 7.2% for BSCT. Worst drawdown: BSCT -19.5% vs VYM -35.7%.

Should I hold both BSCT and VYM?

BSCT and VYM have a monthly-return correlation of 0.58, so their returns are far enough apart for the mix to behave differently from either one alone. This is information, not a recommendation.

What is the holdings overlap between BSCT and VYM?

At least 1.8% of VYM's money is in holdings BSCT also owns. Our book for BSCT is partial, so the real figure is this or higher. They hold 4 positions in common, counted across the 397 positions we hold weights for in BSCT and 557 in VYM.

Which pays a higher dividend, BSCT or VYM?

BSCT yields 4.53% while VYM yields 2.22%, so BSCT currently pays the higher dividend yield.

Is VYM better than BSCT?

VYM has a lower expense ratio. VYM led over 1Y, 3Y, 5Y and the full window. Which one suits a particular account depends on what it is for. This is information, not a recommendation.