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BAIV vs IVOV
Brown Advisory International Value Select ETF vs Vanguard S&P Mid-Cap 400 Value Index Fund ETF Shares
Key differences
- IVOV costs 0.50% less per year.
- IVOV is significantly larger than BAIV — larger funds tend to be more liquid and less likely to close.
- BAIV covers global markets; IVOV covers north america.
- BAIV follows a active selection strategy; IVOV uses index tracking.
- IVOV has a longer track record, which may reduce uncertainty around long-term behavior.
Side-by-side comparison
| BAIV | IVOV | |
|---|---|---|
| Annual cost (TER) | 0.60% | 0.10% |
| Fund size (AUM) | $95M | $1.4B |
| Since | 2026 | 2010 |
| Dividend yield | — | 1.68% |
| Asset class | equity | equity |
| Region | global | north america |
| Strategy | active selection | index tracking |
| CAGR 1Y | N/A | +22.4% |
| CAGR 3Y | N/A | +14.7% |
| CAGR 5Y | N/A | +7.9% |
| Sharpe 3Y | N/A | 0.66 |
| Volatility 1Y | — | 15.47% |
| Max drawdown | -11.41% | -45.99% |
Green dot indicates the better value for that metric. Performance data is historical and does not predict future results.
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