TAIWAN ETF COMPARISON

00678 vs 00919

CAPITAL NASDAQ BIOTECHNOLOGY INDEX EXCHANGE compared with CAPITAL TIP CUSTOMIZED TAIWAN SELECT HIGH DIVIDEND EXCHANGE TRADED FUND.

Four ways to read this comparison

Portfolio similarity, historical return, distribution yield and annual fund cost answer different questions.

Portfolio overlap0.00%Low · 0 common securities
Higher 1-year return00919+50.18% vs +66.39%
Higher distribution yield00919— vs 10.60%
Lower annual fee009191.01% vs 0.33%

Price and return trend

Normalized returns make funds with different unit prices comparable. Switch to price mode to view actual TWD prices.

00678+16.88%42.65 TWD・+6.16 TWD
00919+4.77%32.27 TWD・+1.47 TWD

Key metrics

Metric00678
CAPITAL NASDAQ BIOTECHNOLOGY INDEX EXCHANGE
00919
CAPITAL TIP CUSTOMIZED TAIWAN SELECT HIGH DIVIDEND EXCHANGE TRADED FUND
Latest closeTWD 42.65TWD 32.27
Assets under managementTWD 387MTWD 609.5B
Beneficiaries1,8761,452,123
Trailing 12-month distribution yield10.60%
Total expense ratio
Management fee0.85%0.30%
Custody fee0.16%0.04%

Performance and risk

Metric0067800919
1-year return+50.18%+66.39%
3-year return+65.82%+99.42%
5-year return+40.34%
1-year volatility21.92%18.46%
1-year max drawdown-6.88%-10.49%
1-year Sharpe ratio2.512.87

Returns are price returns. Risk statistics use the available one-year price history and are shown only when sufficient observations exist.

Sector allocation

Weights are based on the latest available disclosed portfolios.

Sector0067800919
Financials
0.00%
53.73%
Computers & Peripherals
0.00%
19.29%
Transportation
0.00%
6.79%
Semiconductors
0.00%
6.50%
Construction
0.00%
2.33%
Other
0.00%
1.79%
Textiles
0.00%
1.41%
Electronics Distribution
0.00%
1.36%
Sports & Leisure
0.00%
1.11%
Electronic Components
0.00%
0.94%
Other Electronics
0.00%
0.88%
Rubber
0.00%
0.59%

Common holdings

0 securities appear in both disclosed portfolios. Data updated Sep 18, 2026.

No data is currently available.

Holdings unique to each ETF

These securities appear in one disclosed portfolio but not the other.

#Security00678 weight
1VRTX US · VERTEX PHARMACEUTICALS INC8.03%
2AMGN US · AMGEN INC7.85%
3GILD US · GILEAD SCIENCES INC7.82%
4REGN US · REGENERON PHARMACEUTICALS5.41%
5MRNA US · MODERNA INC4.16%
6RVMD US · REVOLUTION MEDICINES INC2.83%
7ILMN US · ILLUMINA INC2.49%
8ALNY US · ALNYLAM PHARMACEUTICALS INC2.20%
9BIIB US · BIOGEN INC2.15%
10ARGX US · ARGENX SE - ADR1.85%
11INSM US · INSMED INC1.80%
12ROIV US · ROIVANT SCIENCES LTD1.79%
13RPRX US · ROYALTY PHARMA PLC- CL A1.77%
14BIB US · PROSHARES ULTRA NASD BIOTECH1.74%
15INCY US · INCYTE CORP1.73%
16GH US · GUARDANT HEALTH INC1.67%
17UTHR US · UNITED THERAPEUTICS CORP1.44%
18VTRS US · VIATRIS INC1.37%
19MEDP US · MEDPACE HOLDINGS INC1.21%
20NBIX US · NEUROCRINE BIOSCIENCES INC1.05%
21JAZZ US · JAZZ PHARMACEUTICALS PLC1.02%
22ASND US · ASCENDIS PHARMA A/S1.02%
23EXEL US · EXELIXIS INC0.97%
24TEM US · TEMPUS AI INC-CL A0.97%
25SMMT US · SUMMIT THERAPEUTICS INC0.95%

Fund profile and disclosure dates

Metric0067800919
IssuerCapital Investment TrustCapital Investment Trust
Tracking index / benchmark
Listing dateJan 16, 2017Oct 20, 2022
Latest market dateSep 21, 2026Sep 21, 2026
Holdings dateSep 17, 2026Sep 18, 2026
Eligible stock positions24440
Premium / discount+0.40%-0.06%

Switching estimate

Estimate how many units of the other ETF the current market value could purchase.

0067800919
Current market valueTWD 426.5K
Unrealized gain / lossTWD 0
Estimated 00919 units13,216
Estimated annual distribution changeTWD 45.2K

This estimate excludes brokerage fees, taxes, bid-ask spreads and intraday price movement.

Continue researching this pair

Review each ETF independently or open another published comparison.

Taiwan ETF comparison FAQ

What does portfolio overlap measure?

For each common security, ETF Info takes the smaller of the two portfolio weights and adds those amounts. A higher percentage indicates more similar disclosed stock allocation.

Are historical returns shown with distributions?

Use the label shown for each metric. The long-period return fields are based on the return dataset, while the interactive price chart shows price returns and excludes distributions.

Can the lower-fee or higher-return ETF be considered the winner?

No single metric determines suitability. Fees, risk, liquidity, tracking exposure, distributions and portfolio construction answer different questions.

How to use this comparison

Fees, historical returns and overlap answer different questions. Portfolio overlap shows how similar the latest disclosed holdings are; it does not predict future performance or account for every trading cost, tax or distribution policy.