Quick Verdict

VYM has a lower expense ratio. VYM delivered stronger 1-year returns. VYM offers more diversification with 558 holdings.

Lower Fees: VYMHigher Returns: VYMMore Diversified: VYM

Side-by-Side Comparison

MetricCBOYVYMWinner
Expense Ratio0.69%0.04%
AUM$5M$79.0B
Dividend Yield1.37%2.86%
Holdings5568
YTD Return-0.26%+15.80%
1Y Return-1.68%+26.12%
3Y Return (annualized)-+18.25%
5Y Return (annualized)-+12.51%
Volatility (annualized)2.0%14.6%
Max Drawdown-4.0%-58.8%
Fund FamilyCalamos InvestmentsVanguard (US)
CategoryAlternativeEquity
InceptionJul 8, 2025Nov 10, 2006

CBOY vs VYM Performance

Calamos Bitcoin Structured Alt Protection ETF - July (CBOY) is a ETF from Calamos Investments and Vanguard High Dividend Yield ETF (VYM) is a ETF from Vanguard (US). Over the past year CBOY returned -1.68% while VYM returned +26.12%. Year to date, CBOY is down 0.26% versus a gain of 15.80% for VYM.

Risk: Volatility and Drawdowns

VYM has been the more volatile fund, with annualized monthly volatility of 14.6% compared with 2.0% for CBOY. 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 -4.0% for CBOY and -58.8% for VYM. Drawdown depth is worth weighing if you expect to sell during market stress rather than ride it out.

The two funds' monthly returns correlate at -0.25. They move independently enough that combining them can meaningfully diversify a portfolio.

Fees and Cost Over Time

CBOY charges 0.69% per year while VYM charges 0.04%. On a $10,000 position that is $69 vs $4 annually, a gap of $65 per year that compounds over a long holding period. On income, CBOY currently yields 1.37% against 2.86% for VYM.

Frequently Asked Questions

Which is cheaper, CBOY or VYM?

CBOY has an expense ratio of 0.69% while VYM charges 0.04%. VYM is the cheaper option. On a $10,000 investment, that is $65 per year of difference.

Which performed better, CBOY or VYM?

Over the past year CBOY returned -1.68% vs +26.12% for VYM, so VYM leads on 1-year performance. Over the longest common window we track (1 years), CBOY annualized -0.39% vs +7.07% for VYM. Past performance does not guarantee future results.

Which is riskier, CBOY or VYM?

VYM has been the more volatile fund at 14.6% annualized versus 2.0% for CBOY. Worst drawdown: CBOY -4.0% vs VYM -58.8%.

Should I hold both CBOY and VYM?

CBOY and VYM have a monthly-return correlation of -0.25, so combining them can provide real diversification depending on your allocation goals.

Which pays a higher dividend, CBOY or VYM?

CBOY yields 1.37% while VYM yields 2.86%, so VYM currently pays the higher dividend yield.

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