Compare SEL vs. EQDS ETF performance

Comparing 2 ETFs

Performance (December 19, 2025 - March 19, 2026)
SEL
+4.13%
EQDS
+0.11%
02468%JANFEBMAR0
Comparison analysis

Amundi Stoxx Europe Select Dividend 30 UCITS ETF (SEL) provides exposure to the Europe Blended Cap and High Dividend segments. iShares MSCI Europe Quality Dividend Advanced UCITS ETF (EQDS) belongs to the Europe Large and Mid Cap and Multi-Factor segments. SEL replicates its index using the Indirect with a Unfunded swap model, while EQDS is built on a Direct (Physical) replication method with a Optimized sampling model. Both SEL and EQDS distribute dividends, with a TTM distribution yield of 6.32% and 3.44% respectively. Financials, Consumer Discretionary and Utilities are SEL’s top sector exposures, while EQDS invests in Financials, Industrials and Utilities as its top 3. SEL’s top underlying securities are AKER BP ASA (5.26%), RIO TINTO (4.70%) and ABN AMRO BANK (4.58%). EQDS’s top underlying securities are NOVARTIS (4.56%), ABB (3.39%) and IBERDROLA SA (3.22%). With a Total Expense Ratio (TER) of 0.3%, SEL is more expensive than EQDS, with 0.28%. SEL has a 3M average daily volume (ADV) of +€1.7M vs. +€2.1M for EQDS.  The recorded 1Y bid-ask spread is +10.29bps (SEL) and +12.43bps (EQDS). The table below shows the full side-by-side ETF comparison of SEL and EQDS, with detailed data on performance, flows, liquidity, exposure to individual stocks, segments, sectors, and geographies, helping you select the best ETFs.

SEL
Amundi Stoxx Europe Select Dividend 30 UCITS ETF Dist - EURThis ETF provides exposure to Other European Equities
ISIN
LU1812092168
EQDS
iShares MSCI Europe Quality Dividend Advanced UCITS ETF - Dist - EURThis ETF provides exposure to Other Large and Mid-Cap European Equities
Share class
Dist
EUR
ISIN
IE00BYYHSM20
Product Type
Passive ETF
Passive ETF
 
Strategy
Long only
Long only
 
NAV
€21.04
€6.47
 
AuM
-
-
 
Total AuM of fund
€840M
 
Base currency
EUR
EUR
 
E/R
0.3%
0.28%
 
Rating
 
 
Provider
 
Investment strategy
Amundi Stoxx Europe Select Dividend 30 - UCITS ETF seeks to replicate as closely as possible the performance of the STOXX Europe Select Dividend 30 Index ("the Index) whether the trend is rising or falling.
The Fund aims to achieve a return on your investment, through a combination of capital growth and income, which reflects the return of the MSCI Europe High Dividend Yield ESG Reduced Carbon Target Select Index.
 
Dividend policy
Distribution
Distribution
 
 
 
Tax optimisation
 
PEA
 
UK Reporting
 
 
Performance and flows
Perf.
Flows
Perf.
Flows
 
1 month
-3.20%
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-4.19%
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3 months
+4.13%
+0.11%
 
1 year
+25.77%
+3.76%
 
3 years
+73.55%
+35.55%
 
5 years
+74.59%
+61.94%
 
Month to date
-4.07%
-6.67%
 
Quarter to date
+2.69%
-0.52%
 
Year to date
+2.69%
-0.52%
 
 
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
Financials
48.64%
Consumer Discretionary
12.37%
Utilities
9.79%
Energy
9.64%
Industrials
6.80%
Materials
5.86%
Communication Services
3.50%
Unavailable
3.40%
Exposure data based on a proxy
 
Number of holdings
30
82
 
Weight of top 15 holdings
-
 
Top 15 holdings
-
NOVARTIS
ABB
IBERDROLA SA
GB00BVZK7T90
VOLVO
NATIONAL GRID
ENEL GLOBAL TRADING
ZURICH INSURANCE
AXA
CAIXABANK SA
MUNICH RE
GENERALI
KBC GROEP
GROUPE DANONE
ESSILORLUXOTTICA
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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 SEL and EQDS

How did SEL and EQDS perform in 2026?

As of yesterday, SEL has delivered a year-to-date performance of 2.69%, while EQDS has returned -0.52%.

Which ETF is seeing higher flows: SEL or EQDS?

As of yesterday, SEL has recorded +€73M in net flows YTD, compared to -€76M for EQDS since the beginning of the year.

Which ETF shows higher volatility: SEL or EQDS?

As of yesterday, SEL reported a 1-year volatility of 13.98%, whereas EQDS registered volatility 13.10% over the same period.

How do SEL and EQDS differ in sector exposure?

As of yesterday, SEL is primarily exposed to sectors such as Financials, weight 48.64%, Consumer Discretionary, weight 12.37% and Utilities, weight 9.79%. The top sectors in EQDS feature Financials, weight 27.06%, Industrials, weight 17.06% and Utilities, weight 10.34%.

How do SEL and EQDS differ in geographic exposure?

As of yesterday, SEL has its largest country exposures in United Kingdom, weight 27.39%, Netherlands, weight 17.97% and France, weight 13.14%. The top countries in EQDS feature United Kingdom, weight 18.18%, Switzerland, weight 17.95% and France, weight 11.81%.

How do SEL and EQDS differ in terms of holdings?

As of yesterday, SEL include AKER BP ASA, weight 5.26%, RIO TINTO, weight 4.70% and ABN AMRO BANK, weight 4.58%. The top positions in EQDS feature NOVARTIS, weight 4.56%, ABB, weight 3.39% and IBERDROLA SA, weight 3.22%.

Is SEL or EQDS more diversified?

As of yesterday, SEL holds 30 securities, with 60.87% of its assets allocated to its top 15 positions. EQDS, by comparison, includes 82 holdings and has 41.79% concentrated in its top 15.

Which ETF has a higher distribution yield: SEL or EQDS?

As of yesterday, SEL has a trailing 12-month yield of 6.32%, while EQDS offers 3.44%.

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