VOXPvsXCLRETF Comparison
Reverb ETF (VOXP) belongs to the US Large Cap segment. Global X S&P 500 Collar 95-110 ETF (XCLR) is part of the Options Strategies segment. VOXP's top 3 sector exposures are Information Technology, Communication Services and Financials. In contrast, XCLR's top sector exposures are Information Technology, Financials and Communication Services. VOXP is more expensive with a Total Expense Ratio (TER) of 0.3%, versus 0.25% for XCLR. VOXP is down -0.47% year-to-date (YTD) with - in YTD flows. XCLR performs worse with -2.53% YTD performance, and - in YTD flows. Run a side-by-side ETF comparison of VOXP and XCLR below, and assess how they stack up in performance, liquidity, risk, exposure, holdings, and more, helping you select the best ETF for your investments.
VOXP vs XCLR performance and flow charts
Performance
Cumulative Flows
| 1M | 3M | YTD | 1Y | 3Y | 5Y | ||
|---|---|---|---|---|---|---|---|
| Perf. | VOXP XCLR | +0.49%-1.55% | -2.41%-3.88% | -0.47%-2.53% | +31.39%+14.62% | +73.25%+44.59% | n/an/a |
| Flows | VOXP XCLR | -- | -- | -- | -+$275K | +$1M-$1M | -- |
| 3M | 1Y | 3Y | 5Y | ||
|---|---|---|---|---|---|
| Volatility | VOXP XCLR | +15.17%+10.63% | +13.23%+9.46% | +15.07%+10.18% | n/an/a |
| Max drawdown | VOXP XCLR | -9.04%-8.12% | -9.04%-8.12% | -19.22%-12.48% | n/an/a |
| Max drawdown duration | VOXP XCLR | 72d71d | 72d71d | 126d153d | n/an/a |
VOXP | XCLR | |
Last sale 4/10/2026 at 1:30 PM | $35.13 | $26.23 |
| Previous close 04/09/2026 | $35.18 | $26.24 |
| Consolidated volume 04/09/2026 | ||
| Average volume 30 days | ||
| Average discount or premium 30 days | ||
| Average Bid/Ask spread 30 days |
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VOXP | XCLR | |
|---|---|---|
| Tracking error | ||
| Tracking difference | ||
| 1 year cumulative return difference | ||
| Best | ||
| Worst | ||
| Daily return difference | ||
| Average | ||
| Worst | ||
VOXP | XCLR | |
|---|---|---|
| Last price | $35.13 | $26.23 |
| 1D performance | -0.16% | -0.02% |
| AuM | $5.27 M | $3.15 M |
| E/R | 0.3% | 0.25% |
VOXP | XCLR | |
|---|---|---|
| Management strategy | Active | Passive |
| Provider | Distribution Cognizant | Global X |
| Benchmark | - | Cboe S&P 500 3-Month Collar 95-110 Index |
| N° of holdings | 465 | 478 |
| Asset class | - | Equities |
| Trailing 12m distribution yield | Join | Join |
| Inception date | November 3, 2022 | August 25, 2021 |
| ESG | No | No |
Countries
Sectors
Diversification
Total weight of top 15 holdings out of 15
Total weight of top 15 holdings out of 15
