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Compare BMO MSCI USA ESG Leaders Index ETF (ESGY) vs BMO MSCI USA ESG Leaders Index ETF (ESGY.F) to find the best fit for your portfolio. ESGY and ESGY.F provide the same top sector exposures: Information Technology, Communication Services, and Health Care. When evaluating costs, ESGY features a management fee (MER) of 0.2%, compared to 0.2% for ESGY.F. Performance-wise, ESGY has returned 9.66% year-to-date with -$0 M in net flows, whereas ESGY.F is at 6.68% with -$2 M. Use the comparison tool below to benchmark these funds across top 10 holdings, yield, sector weights and historical returns.
NAV Performance and Flows
Key Data
Compare
ESGY
ESGY.F
| AuM | $189.08 M | $5.53 M |
| Management Fees | 0.20% | 0.20% |
| Exp. ratio | 0.23% | 0.23% |
| Tracking Difference | 0.03% | -0.12% |
Historical performance and flows
As of June 11, 2026
| 1M | 3M | YTD | 1Y | 3Y | ||
|---|---|---|---|---|---|---|
| Perf. | ESGY | +1.58% | +12.87% | +9.66% | +26.94% | +85.15% |
ESGY.F | -0.57% | +9.01% | +6.68% | +21.71% | +69.17% | |
| Flows | ESGY | -$4 M | -$3 M | -$0 M | -$15 M | -$2,144 M |
ESGY.F | +$0 M | -$2 M | -$2 M | -$2 M | -$1 M |
ESGY vs ESGY.F exposure
Countries
ESGY
USA
95.92%
ESGY.F
USA
95.92%
Sectors
ESGY
Information Technology
40.33%
Communication Services
13.47%
Health Care
9.34%
Consumer Discretionary
8.62%
Industrials
7.82%
Other
20.42%
ESGY.F
Information Technology
40.33%
Communication Services
13.47%
Health Care
9.34%
Consumer Discretionary
8.62%
Industrials
7.82%
Other
20.42%
As of June 11, 2026
Top 10 Holdings
ESGY
NVIDIA
15.76%
MICROSOFT-T
9.29%
ALPHABET INC-CL
6.31%
ALPHABET INC-CL
5.24%
TESLA
3.27%
LILLY
2.13%
VISA INCORPORATION
1.76%
ADVANCED MICRO DEVICES
1.70%
JOHNSON&JOHNSON
1.70%
MASTERCARD
1.38%
ESGY.F
NVIDIA
15.76%
MICROSOFT-T
9.29%
ALPHABET INC-CL
6.31%
ALPHABET INC-CL
5.24%
TESLA
3.27%
LILLY
2.13%
VISA INCORPORATION
1.76%
ADVANCED MICRO DEVICES
1.70%
JOHNSON&JOHNSON
1.70%
MASTERCARD
1.38%
Diversification
ESGY
Total weight of top 10 holdings out of 258 total
48.53%
ESGY.F
Total weight of top 10 holdings out of 258 total
48.53%
Characteristics
Compare
ESGY
ESGY.F
| Provider | BMO | BMO |
| Management | Passively managed | Passively managed |
| Benchmark | MSCI USA Selection NTR Index - CAD | MSCI USA Selection NTR Index - CAD Hedged |
| Replication Method | Direct (Physical) | Direct (Physical) |
| Asset Class | Equity | Equity |
| Dividend Policy | Distributing | Distributing |
| Trailing 12m distribution yield | 0.62% | 0.68% |
| Meets ESG criteria | Yes | Yes |
| Inception Date | January 24, 2020 | February 12, 2021 |
Frequently asked questions about ESGY and ESGY.F
Which ETF has performed better year to date: ESGY or ESGY.F?
As of June 11, 2026, ESGY has returned 9.66% year to date, while ESGY.F has returned 6.68%. ESGY is ahead on YTD performance.
Which ETF is larger by assets under management: ESGY or ESGY.F?
As of June 11, 2026, ESGY manages $189.08 M in assets, while ESGY.F manages $5.53 M. ESGY is the larger fund by AUM.
How are ESGY and ESGY.F managed?
ESGY is passively managed by BMO. It tracks the MSCI USA Selection NTR Index - CAD benchmark. ESGY.F is passively managed by BMO. It tracks the MSCI USA Selection NTR Index - CAD Hedged benchmark.
What sectors do ESGY and ESGY.F emphasize?
ESGY is most exposed to Information Technology, Communication Services, and Health Care. ESGY.F is most exposed to Information Technology, Communication Services, and Health Care.
Which ETF is attracting more investor flows: ESGY or ESGY.F?
Year to date, ESGY has seen -$0.24 M in net flows, compared with -$2.40 M for ESGY.F. ESGY has attracted more net investor money so far.
How do the fees of ESGY and ESGY.F compare?
ESGY has an expense ratio of 0.23%, while ESGY.F has an expense ratio of 0.23%.
What are the top holdings of ESGY and ESGY.F?
ESGY's largest holdings include NVIDIA, ALPHABET INC-CL, and MICROSOFT-T. ESGY.F's top holdings include NVIDIA, ALPHABET INC-CL, and MICROSOFT-T.
Which ETF is more diversified: ESGY or ESGY.F?
ESGY holds 243 securities, while ESGY.F holds 243. On holdings count, ESGY is the more diversified portfolio.
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