BNDX vs MCHI

Vanguard Total International Bond ETF vs iShares MSCI China ETF

Quick take
  • BNDX has the lower expense ratio at 0.07% vs 0.59% for MCHI.
  • BNDX pays a higher dividend yield (4.47%).

Side-by-side metrics

MetricBNDXMCHI
Expense ratio
Annual fee. Lower is better.
0.07%0.59%
Dividend yield
Trailing 12-month yield.
4.47%2.21%
AUM
Assets under management — bigger funds are typically more liquid.
$117.95B$6.75B
YTD return
0.57%-2.26%
1-year return
3-year return
Annualized.
5-year return
Annualized.
10-year return
Annualized.
Beta (3Y)
Volatility relative to the market. Closer to 1 = market-like.
0.610.68
P/E ratio
13.07
Last price
$48.08$58.33
Inception
Issuer
VanguardiShares

BNDX top holdings

Holdings data unavailable for BNDX.
Sector breakdown · BNDX
Technology100.0%

MCHI top holdings

Top holdings · MCHI
0700.HKTencent Holdings Ltd14.12%
9988.HKAlibaba Group Holding Ltd Ordinary Shares10.24%
00939China Construction Bank Corp Class H3.99%
PDDPDD Holdings Inc ADR2.62%
1810.HKXiaomi Corp Class B2.36%
01398Industrial And Commercial Bank Of China Ltd Class H2.16%
02318Ping An Insurance (Group) Co. of China Ltd Class H2.00%
3690.HKMeituan Class B1.95%
01211BYD Co Ltd Class H1.79%
03988Bank Of China Ltd Class H1.69%
Sector breakdown · MCHI
Real Estate1.5%
Consumer Cyclical26.4%
Basic Materials5.5%
Consumer Defensive3.2%
Technology9.6%
Communication Services18.8%
Financial Services19.1%
Utilities1.7%
Industrials5.0%
Energy3.7%
Healthcare5.4%

About BNDX

BNDX (Vanguard Total International Bond ETF) is Investment-grade non-US bonds, hedged to USD. Managed by Vanguard, the fund carries $118.0B in assets under management, an expense ratio of 0.07%, a dividend yield of 4.47%. Technology is the fund's largest sector exposure at 100.0%.

About MCHI

MCHI (iShares MSCI China ETF) is Broad China equity exposure. Managed by iShares, the fund carries $6.7B in assets under management, an expense ratio of 0.59%, a dividend yield of 2.21%. Its largest holding is Tencent Holdings Ltd (0700.HK), which represents 14.1% of the portfolio. Real Estate is the fund's largest sector exposure at 1.5%.