Accessibility Menu

IWN vs. SLYV: Sector Allocations Make the Difference

Explore how key differences in portfolio breadth and sector mix set these two small-cap value ETFs apart for investors.

By Jeff Santoro Dec 20, 2025 at 4:07PM EST

Key Points

  • IWN has delivered a higher one-year total return but carries a slightly higher expense ratio than SLYV
  • IWN holds over three times as many stocks, resulting in broader sector diversification
  • Both ETFs focus on small-cap value stocks but differ in sector weightings and top holdings

Premium Investing Services

Invest better with The Motley Fool. Get stock recommendations, portfolio guidance, and more from The Motley Fool's premium services.