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INDF vs. IYF
Performance
Return for Risk
Drawdowns
Volatility
Dividends

Performance

INDF vs. IYF - Performance Comparison

The chart below illustrates the hypothetical performance of a $10,000 investment in Nifty India Financials ETF (INDF) and iShares U.S. Financials ETF (IYF). The values are adjusted to include any dividend payments, if applicable.

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Returns By Period


INDF

1D
1M
YTD
6M
1Y
3Y*
5Y*
10Y*

IYF

1D
-1.13%
1M
-1.00%
YTD
-5.20%
6M
-3.00%
1Y
5.96%
3Y*
20.58%
5Y*
9.52%
10Y*
12.56%
*Multi-year figures are annualized to reflect compound growth (CAGR)

INDF vs. IYF - Yearly Performance Comparison


2026 (YTD)202520242023202220212020
INDF
Nifty India Financials ETF
0.00%8.17%6.32%19.86%-5.28%11.95%23.97%
IYF
iShares U.S. Financials ETF
-5.20%18.25%31.30%15.32%-11.33%31.60%15.42%

Correlation

The correlation between INDF and IYF is 0.06, meaning there is essentially no relationship between their price movements. Each responds to its own set of market drivers, making them strong candidates for combining in a diversified portfolio.


Correlation
Correlation (1Y)
Calculated over the trailing 1-year period

0.06

Correlation (3Y)
Calculated over the trailing 3-year period

0.27

Correlation (5Y)
Calculated over the trailing 5-year period

0.40

Correlation (All Time)
Calculated using the full available price history since Oct 22, 2020

0.41

Over the past year, the correlation between INDF and IYF has dropped to 0.06 - well below their long-term average of 0.41, suggesting their price drivers have been diverging.

INDF vs. IYF - Sectors Allocation Comparison


Sectors
INDF
IYF

Financial Services

100.0%
99.0%

Basic Materials

-

-

Communication Services

-

-

Consumer Cyclical

-

-

Consumer Defensive

-

-

Energy

-

-

Healthcare

-

-

Industrials

-

-

Real Estate

-

0.7%

Technology

-

0.3%

Utilities

-

-

Financial Services

INDF
100.0%
IYF
99.0%

Basic Materials

INDF

-

IYF

-

Communication Services

INDF

-

IYF

-

Consumer Cyclical

INDF

-

IYF

-

Consumer Defensive

INDF

-

IYF

-

Energy

INDF

-

IYF

-

Healthcare

INDF

-

IYF

-

Industrials

INDF

-

IYF

-

Real Estate

INDF

-

IYF
0.7%

Technology

INDF

-

IYF
0.3%

Utilities

INDF

-

IYF

-

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Return for Risk

INDF vs. IYF — Risk / Return Rank

Compare risk-adjusted metric ranks to identify better-performing investments over the past 12 months.

INDF

IYF
IYF Risk / Return Rank: 1414
Overall Rank
IYF Sharpe Ratio Rank: 1515
Sharpe Ratio Rank
IYF Sortino Ratio Rank: 1414
Sortino Ratio Rank
IYF Omega Ratio Rank: 1414
Omega Ratio Rank
IYF Calmar Ratio Rank: 1414
Calmar Ratio Rank
IYF Martin Ratio Rank: 1414
Martin Ratio Rank
The rank (0–100) shows how this investment's returns compare to the risk taken. Higher = better. Based on the past 12 months of data, combining Sharpe, Sortino, and other metrics used by quantitative funds and institutional investors.

INDF vs. IYF - Risk-Adjusted Trends Comparison

This table presents a comparison of risk-adjusted performance metrics for Nifty India Financials ETF (INDF) and iShares U.S. Financials ETF (IYF). Risk-adjusted metrics are performance indicators that assess an investment's returns in relation to its risk, enabling a more accurate comparison of different investment options.


Risk / return metrics aren't available yet — we need at least 12 months of trading data to calculate them.

INDF vs. IYF - Sharpe Ratio Comparison


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Sharpe Ratios by Period


INDFIYFDifference

Sharpe Ratio (1Y)

Calculated over the trailing 1-year period

0.42

Sharpe Ratio (5Y)

Calculated over the trailing 5-year period

0.50

Sharpe Ratio (10Y)

Calculated over the trailing 10-year period

0.60

Sharpe Ratio (All Time)

Calculated using the full available price history

0.22

Drawdowns

INDF vs. IYF - Drawdown Comparison


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Drawdown Indicators


INDFIYFDifference

Max Drawdown

Largest peak-to-trough decline

-79.09%

Max Drawdown (1Y)

Largest decline over 1 year

-13.88%

Max Drawdown (3Y)

Largest decline over 3 years

-16.60%

Max Drawdown (5Y)

Largest decline over 5 years

-25.06%

Max Drawdown (10Y)

Largest decline over 10 years

-42.57%

Current Drawdown

Current decline from peak

-8.10%

Average Drawdown

Average peak-to-trough decline

-17.61%

Ulcer Index

Depth and duration of drawdowns from previous peaks

5.06%

Volatility

INDF vs. IYF - Volatility Comparison


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Volatility by Period


INDFIYFDifference

Volatility (1M)

Calculated over the trailing 1-month period

3.41%

Volatility (6M)

Calculated over the trailing 6-month period

10.80%

Volatility (1Y)

Calculated over the trailing 1-year period

14.34%

Volatility (5Y)

Calculated over the trailing 5-year period, annualized

19.00%

Volatility (10Y)

Calculated over the trailing 10-year period, annualized

20.89%

INDF vs. IYF - Expense Ratio Comparison

INDF has a 0.75% expense ratio, which is higher than IYF's 0.42% expense ratio.


Dividends

INDF vs. IYF - Dividend Comparison

INDF's dividend yield for the trailing twelve months is around 21.29%, more than IYF's 1.57% yield.


PositionTTM20252024202320222021202020192018201720162015
INDF
Nifty India Financials ETF
21.29%21.29%6.15%8.84%3.12%1.58%0.00%0.00%0.00%0.00%0.00%0.00%
IYF
iShares U.S. Financials ETF
1.57%1.32%1.29%1.67%1.86%1.27%1.72%1.64%1.90%1.46%1.67%1.66%

Frequently Asked Questions


INDF and IYF have a correlation of 0.06, meaning they provide meaningful diversification benefit when combined. Depending on your allocation goals, holding both could reduce overall portfolio risk.

On fees, IYF is cheaper at 0.42% per year. The better choice depends on whether you care most about return, fees, risk, or income.

IYF is cheaper with a 0.42% expense ratio, compared with 0.75% for INDF.

INDF has the higher dividend yield at 21.29%, compared with 1.57% for IYF.

INDF tracks Nifty Financial Services 25/50 Index, while IYF tracks Dow Jones U.S. Financials Index. They also come from different issuers: Exchange Traded Concepts and iShares. Their fees differ too: 0.75% for INDF and 0.42% for IYF.

Portfolio Optimizer

Find the right allocation for INDF and IYF

Add both to a portfolio and optimize allocations for your target — whether that's maximizing returns, minimizing drawdowns, or balancing risk across holdings.

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