FCIM
Fidelity International Momentum Index ETF

Full FCIM fund page
VS
IDIV.B
Manulife Smart International Dividend ETF

Full IDIV.B fund page

Compare Fidelity International Momentum Index ETF (FCIM) vs Manulife Smart International Dividend ETF (IDIV.B) to find the best fit for your portfolio. FCIM and IDIV.B provide the same top sector exposures: Financials, Industrials, and Communication Services. When evaluating costs, FCIM features a management fee (MER) of 0.45%, compared to 0.35% for IDIV.B. Performance-wise, FCIM has returned 17.4% year-to-date with +$461 M in net flows, whereas IDIV.B is at 11.11% with +$984 M. Use the comparison tool below to benchmark these funds across top 10 holdings, yield, sector weights and historical returns.

NAV Performance and Flows

0.02.04.06.0%May 5May 12May 20May 27Jun 3

Key Data

Historical performance and flows

As of June 5, 2026
1M3MYTD1Y3Y
Perf.
FCIM
+4.68%+7.19%+17.40%+36.11%+121.05%
IDIV.B
+3.06%+6.72%+11.11%+29.62%+82.04%
Flows
FCIM
+$73 M+$200 M+$461 M+$975 M+$1,332 M
IDIV.B
+$187 M+$518 M+$984 M+$1,328 M+$1,387 M

FCIM vs IDIV.B exposure

Countries

FCIM
Japan
21.87%
Other
19.32%
United Kingdom
13.08%
Australia
7.45%
Other
38.27%
IDIV.B
Japan
16.83%
United Kingdom
12.39%
France
9.82%
Other
9.81%
Italy
8.95%
Other
42.21%

Sectors

FCIM
Financials
25.21%
Other
20.40%
Industrials
10.87%
Communication Services
9.84%
Real Estate
9.20%
Utilities
9.01%
Other
15.48%
IDIV.B
Financials
27.64%
Industrials
13.46%
Other
10.61%
Communication Services
7.93%
Health Care
7.46%
Other
32.90%
As of June 5, 2026

Top 10 Holdings

FCIM
SOFTBANK GROUP CORP
3.97%
ENLIGHT RENEWABLE ENERGY
3.77%
MITSUBISHI ESTATE
3.40%
SWISS PRIME SITE
3.15%
TELECOM ITALIA
3.10%
ENGIE
2.98%
VODAFONE GROUP
2.77%
HENDERSON
2.65%
BHP GROUP LTD
2.46%
TOKYO GAS
2.26%
IDIV.B
ENI
2.68%
TELEFONICA SA
2.19%
SANOFI SA
2.19%
ENGIE
2.13%
BOC HONG KONG
2.01%
MARUBENI
1.99%
ASML HOLDING
1.95%
HSBC HOLDINGS
1.94%
KLEPIERRE REIT
1.93%
NOVARTIS
1.92%

Diversification

FCIM
Total weight of top 10 holdings out of 85 total
30.50%
IDIV.B
Total weight of top 10 holdings out of 82 total
20.93%

Characteristics

Compare
FCIM
IDIV.B
ProviderFidelityManulife Investments
ManagementPassively managedActively managed
BenchmarkFidelity Canada International Momentum GTR Index - CAD-
Replication MethodDirect (Physical)
Asset ClassEquityEquity
Dividend PolicyDistributingDistributing
Trailing 12m distribution yield1.40%2.20%
Meets ESG criteriaNoNo
Inception DateJune 10, 2020November 9, 2022

Frequently asked questions about FCIM and IDIV.B

Which ETF has performed better year to date: FCIM or IDIV.B?
As of June 5, 2026, FCIM has returned 17.40% year to date, while IDIV.B has returned 11.11%. FCIM is ahead on YTD performance.
Which ETF is larger by assets under management: FCIM or IDIV.B?
As of June 5, 2026, FCIM manages $1.74 B in assets, while IDIV.B manages $1.76 B. IDIV.B is the larger fund by AUM.
How are FCIM and IDIV.B managed?
FCIM is passively managed by Fidelity. It tracks the Fidelity Canada International Momentum GTR Index - CAD benchmark. IDIV.B is actively managed by Manulife Investments. It does not track an index.
What sectors do FCIM and IDIV.B emphasize?
FCIM is most exposed to Financials, Industrials, and Communication Services. IDIV.B is most exposed to Financials, Industrials, and Communication Services.
Which ETF is attracting more investor flows: FCIM or IDIV.B?
Year to date, FCIM has seen +$460.71 M in net flows, compared with +$984.43 M for IDIV.B. IDIV.B has attracted more net investor money so far.
How do the fees of FCIM and IDIV.B compare?
FCIM has an expense ratio of 0.49%, while IDIV.B has an expense ratio of 0.40%.
What are the top holdings of FCIM and IDIV.B?
FCIM's largest holdings include SOFTBANK GROUP CORP, ENLIGHT RENEWABLE ENERGY, and MITSUBISHI ESTATE. IDIV.B's top holdings include ENI, TELEFONICA SA, and SANOFI SA.
Which ETF is more diversified: FCIM or IDIV.B?
FCIM holds 84 securities, while IDIV.B holds 82. On holdings count, FCIM is the more diversified portfolio.

Recent articles about FCIM and IDIV.B

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