STPL
BMO Global Consumer Staples Hedged to CAD Index ETF

Full STPL fund page
VS
ZXLP
BMO SPDR Consumer Staples Select Sector Index ETF

Full ZXLP fund page

BMO Global Consumer Staples Hedged to CAD Index ETF (STPL) and BMO SPDR Consumer Staples Select Sector Index ETF (ZXLP) offer distinct profiles for Canadian ETF investors. A direct comparison shows that STPL focuses its top 3 sector exposures on Consumer Staples, Health Care, and Materials, while ZXLP leans towards Consumer Staples and Consumer Discretionary. When evaluating costs, STPL features a management fee (MER) of 0.35%, compared to 0.21% for ZXLP. Performance-wise, STPL has returned 3.09% year-to-date with -$1 M in net flows, whereas ZXLP is at 7.79% with +$0 M. Use the comparison tool below to benchmark these funds across top 10 holdings, yield, sector weights and historical returns.

NAV Performance and Flows

-2.0-1.00.01.02.0%Apr 1Apr 9Apr 16Apr 23Apr 30

Key Data

Historical performance and flows

As of May 1, 2026
1M3MYTD1Y3Y
Perf.
STPL
+1.35%-1.10%+3.09%+1.41%+4.48%
ZXLP
+1.12%-0.54%+7.79%+4.17%-
Flows
STPL
+$0 M-$1 M-$1 M-$2 M-$8 M
ZXLP
-$8 M+$4 M+$0 M+$5 M-

STPL vs ZXLP exposure

Countries

STPL
USA
58.91%
United Kingdom
12.70%
Switzerland
8.02%
Japan
7.62%
Other
12.75%
ZXLP
USA
98.45%

Sectors

STPL
Consumer Staples
85.20%
Health Care
7.53%
Other
7.27%
ZXLP
Consumer Staples
89.37%
Other
10.63%
As of May 1, 2026

Top 10 Holdings

STPL
PROCTERGAMBLE
9.65%
COCA-COLA
8.41%
PHILLIP MORRIS
7.28%
NESTLE SA
7.13%
PEPSICO U
6.09%
GB00BVZK7T90
3.64%
BRITISH AMERICAN TOBACCO
3.48%
ALTRIA GROUP
3.21%
MCKESSON
2.99%
CVS HEALTH CORP
2.49%
ZXLP
WALMART INC
11.87%
COSTCO WHOLESALE
9.64%
PROCTERGAMBLE
7.31%
COCA-COLA
6.41%
PHILLIP MORRIS
5.61%
MONDELEZ INTERNATIONAL INC
4.80%
PEPSICO U
4.62%
ALTRIA GROUP
4.59%
COLGATE-PALMOLIVE CO
4.39%
TARGET
3.71%

Diversification

STPL
Total weight of top 10 holdings out of 127 total
54.39%
ZXLP
Total weight of top 10 holdings out of 35 total
62.95%

Characteristics

Compare
STPL
ZXLP
ProviderBMOBMO
ManagementPassively managedPassively managed
BenchmarkFTSE Developed ex Korea Consumer Staples Capped 100% Hedged to CAD Total Return Index - CADS&P Consumer Staples Select Sector Total Return Index - USD
Replication MethodDirect (Physical)
Asset ClassEquityEquity
Dividend PolicyDistributingDistributing
Trailing 12m distribution yield2.14%0.93%
Meets ESG criteriaNoNo
Inception DateApril 7, 2017February 2, 2025

Frequently asked questions about STPL and ZXLP

Which ETF has performed better year to date: STPL or ZXLP?
As of May 1, 2026, STPL has returned 3.09% year to date, while ZXLP has returned 7.79%. ZXLP is ahead on YTD performance.
Which ETF is larger by assets under management: STPL or ZXLP?
As of May 1, 2026, STPL manages $33.70 M in assets, while ZXLP manages $6.79 M. STPL is the larger fund by AUM.
How are STPL and ZXLP managed?
STPL is passively managed by BMO. It tracks the FTSE Developed ex Korea Consumer Staples Capped 100% Hedged to CAD Total Return Index - CAD benchmark. ZXLP is passively managed by BMO. It tracks the S&P Consumer Staples Select Sector Total Return Index - USD benchmark.
What sectors do STPL and ZXLP emphasize?
STPL is most exposed to Consumer Staples, Health Care, and Materials. ZXLP is most exposed to Consumer Staples and Consumer Discretionary.
Which ETF is attracting more investor flows: STPL or ZXLP?
Year to date, STPL has seen -$1.34 M in net flows, compared with +$0.20 M for ZXLP. ZXLP has attracted more net investor money so far.
How do the fees of STPL and ZXLP compare?
STPL has an expense ratio of 0.40%, while ZXLP has an expense ratio of 0.21%.
What are the top holdings of STPL and ZXLP?
STPL's largest holdings include PROCTERGAMBLE, COCA-COLA, and PHILLIP MORRIS. ZXLP's top holdings include WALMART INC, COSTCO WHOLESALE, and PROCTERGAMBLE.
Which ETF is more diversified: STPL or ZXLP?
STPL holds 121 securities, while ZXLP holds 34. On holdings count, STPL is the more diversified portfolio.

Recent articles about STPL and ZXLP

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