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VYMI vs. SCHD Stock Comparison

Compare ETFsVYMI vs. SCHD Stock Comparison
Updated: June 5, 2026

Compare Vanguard International High Dividend Yield ETF (VYMI) and Schwab U.S. Dividend Equity ETF (SCHD) across key metrics, including the price chart below of performance, as well as a side-by-side comparison of dividend metrics, sector breakdowns, top holdings, total returns, costs, and more. Check out our stock comparison tool to compare stocks instead.

VYMI
$100.03
SCHD
$32.59
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Basics
NameVanguard International High Dividend Yield ETFSchwab U.S. Dividend Equity ETF
Price$100.03$32.59
CategoryForeign Large ValueLarge Value
Expense ratio0.07%0.06%
Assets19,500,85394,175,929
Beta0.780.61
Dividends
Dividend$3.42$1.06
Yield3.42%3.24%
FrequencyQuarterlyQuarterly
Payout ratio
48.85%
62.63%
Dividend CAGR (3y)
26.58%
6.25%
Dividend CAGR (5y)
Dividend CAGR (10y)
Total returns
YTD
11.61%
18.30%
1y
31.16%
27.71%
3y
22.65%
15.61%
5y
12.24%
8.43%
10y
10.63%
12.74%
1y volatility11.99%12.40%
3y volatility11.37%13.44%
Sharpe ratio1.510.84
Sector breakdown
Communication services4.00%6.32%
Consumer discretionary6.46%6.29%
Consumer staples6.96%19.24%
Energy9.51%16.16%
Financials41.91%9.33%
Healthcare6.61%18.76%
Industrials6.60%7.50%
Materials6.78%
Real estate
Technology4.30%16.35%
Utilities5.57%0.03%
Cash & others0.02%

Top 10 holdings

VYMI
ST
Sensata Technologies Holding plc
0.14%
STC
Stewart Information Services Corporation
0.12%
FAB
First Trust Multi Cap Value AlphaDEX Fund
0.12%
BTA
BlackRock Long-Term Municipal Advantage Trust
0.09%
KEP
Korea Electric Power Corporation
0.06%
ASX
ASE Technology Holding Co., Ltd.
0.03%
YMM
Full Truck Alliance Co. Ltd.
0.03%
BSF
Bear State Financial, Inc.
0.03%
WIL
Barclays Women in Leadership ETN
0.03%
CLI
Mack-Cali Realty Corporation
0.03%
All holdings
SCHD
QCOM
QUALCOMM Incorporated
6.75%
TXN
Texas Instruments Incorporated
5.92%
UNH
UnitedHealth Group Incorporated
5.10%
KO
The Coca-Cola Company
3.96%
MRK
Merck & Co., Inc.
3.87%
CVX
Chevron Corporation
3.84%
VZ
Verizon Communications Inc.
3.66%
PG
The Procter & Gamble Company
3.55%
COP
ConocoPhillips
3.52%
AMGN
Amgen Inc.
3.48%
All holdings
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