Compare CSSPX vs. IVV ETF performance

Comparing 2 ETFs

Performance (December 17, 2025 - March 17, 2026)
CSSPX
+0.17%
IVV
+0.22%
-101234%JANFEBMAR0
Comparison analysis

iShares Core S&P 500 UCITS ETF (CSSPX) provides exposure to the US Large & Mid Cap segment. iShares Core S&P 500 ETF (IVV) belongs to the US Large Cap segment. Both funds use a Direct (Physical) replication method to follow their index and a replication model of Full replication. Both funds invest in the same top 3 sectors: Information Technology, Communication Services and Financials. CSSPX’s top underlying securities are NVIDIA (7.84%), APPLE (6.40%) and MICROSOFT-T (5.40%). IVV’s top underlying securities are NVIDIA (7.85%), APPLE (6.40%) and MICROSOFT-T (5.41%). With a Total Expense Ratio (TER) of 0.07%, CSSPX is more expensive than IVV, with 0.03%. CSSPX has a 3M average daily volume (ADV) of +$155M vs. +$3.61B for IVV.  The recorded 1Y bid-ask spread is +2.99bps (CSSPX) and +0.68bps (IVV). The table below shows the full side-by-side ETF comparison of CSSPX and IVV, with detailed data on performance, flows, liquidity, exposure to individual stocks, segments, sectors, and geographies, helping you select the best ETFs.

CSSPX
iShares Core S&P 500 UCITS ETF - USDThis ETF provides exposure to Large Cap US Equities
Share class
Acc
USD
ISIN
IE00B5BMR087
IVV
iShares Core S&P 500 ETF - USDThis ETF provides exposure to Large Cap US Equities
ISIN
US4642872000
Product Type
Passive ETF
Passive ETF
 
Strategy
Long only
Long only
 
NAV
$721.08
$671.91
 
AuM
-
-
 
Total AuM of fund
€132.95B
 
Base currency
USD
USD
 
E/R
0.07%
0.03%
 
Rating
 
 
Provider
 
Investment strategy
The Fund seeks to track the performance of an index composed of 500 large cap U.S. companies.
The iShares Core S&P 500 ETF seeks to track the investment results of the S&P 500 composed of large-capitalization U.S. equities.
 
Dividend policy
Capitalization
Distribution
 
 
 
Tax optimisation
 
PEA
 
UK Reporting
 
 
Performance and flows
Perf.
Flows
Perf.
Flows
 
1 month
-1.75%
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-1.73%
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3 months
+0.17%
+0.22%
 
1 year
+19.54%
+19.81%
 
3 years
+77.37%
+78.65%
 
5 years
+79.31%
+81.53%
 
Month to date
-2.30%
-2.28%
 
Quarter to date
-1.67%
-1.62%
 
Year to date
-1.67%
-1.62%
 
 
Volatility and risk
1 year
3 years
5 years
1 year
3 years
5 years
 
Volatility
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Perf./Volatility
 
Max drawdown
 
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Access exclusive metrics and features to support your investment decisions.
 
 
Exposure
 
Countries
 
Sectors or issuer types
 
Number of holdings
503
504
 
Weight of top 15 holdings
 
Top 15 holdings
NVIDIA
APPLE
MICROSOFT-T
AMAZON.COM INC
ALPHABET INC-CL
META PLATFORMS
ALPHABET INC-CL
BROADCOM LIMITED
TESLA
BERKSHIRE HATHWAY
JPMORGAN CHASE
LILLY
EXXON
VISA INCORPORATION
JOHNSON&JOHNSON
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NVIDIA
APPLE
MICROSOFT-T
AMAZON.COM INC
ALPHABET INC-CL
META PLATFORMS
ALPHABET INC-CL
BROADCOM LIMITED
TESLA
BERKSHIRE HATHWAY
JPMORGAN CHASE
LILLY
EXXON
VISA INCORPORATION
JOHNSON&JOHNSON
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Replication
 
Benchmark
 
Replication method
 
Replication model
 
Trackinsight replication rating
 
Tracking error (1Y)
 
Tracking difference (1Y)
 
 
Sustainability
 
ESG Consensus®
esg grade icon
esg grade icon
 
SDG
 

Frequently asked questions about CSSPX and IVV

How did CSSPX and IVV perform in 2026?

As of yesterday, CSSPX has delivered a year-to-date performance of -1.67%, while IVV has returned -1.62%.

Which ETF is seeing higher flows: CSSPX or IVV?

As of yesterday, CSSPX has recorded -€88M in net flows YTD, compared to -€61.56B for IVV since the beginning of the year.

Which ETF shows higher volatility: CSSPX or IVV?

As of yesterday, CSSPX reported a 1-year volatility of 17.69%, whereas IVV registered volatility 18.15% over the same period.

How do CSSPX and IVV differ in sector exposure?

As of yesterday, CSSPX is primarily exposed to sectors such as Information Technology, weight 34.83%, Communication Services, weight 10.92% and Financials, weight 10.53%. The top sectors in IVV feature Information Technology, weight 34.86%, Communication Services, weight 10.93% and Financials, weight 10.54%.

How do CSSPX and IVV differ in geographic exposure?

As of yesterday, CSSPX has its largest country exposures in USA, weight 96.78% and Ireland, weight 2.08%. The top countries in IVV feature USA, weight 97.05% and Ireland, weight 2.08%.

How do CSSPX and IVV differ in terms of holdings?

As of yesterday, CSSPX include NVIDIA, weight 7.84%, APPLE, weight 6.40% and MICROSOFT-T, weight 5.40%. The top positions in IVV feature NVIDIA, weight 7.85%, APPLE, weight 6.40% and MICROSOFT-T, weight 5.41%.

Is CSSPX or IVV more diversified?

As of yesterday, CSSPX holds 503 securities, with 43.89% of its assets allocated to its top 15 positions. IVV, by comparison, includes 504 holdings and has 43.92% concentrated in its top 15.

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