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Money

ISCV Presents Decrease Prices However IWN Offers Higher Liquidity

Madisony
Last updated: January 10, 2026 7:04 pm
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ISCV Presents Decrease Prices However IWN Offers Higher Liquidity
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  • IWN prices the next expense ratio and yields barely lower than ISCV

  • IWN has delivered a stronger 1-year whole return however skilled a deeper five-year drawdown

  • IWN holds extra shares and tilts extra towards actual property, whereas ISCV has higher publicity to shopper cyclicals

  • These 10 shares may mint the following wave of millionaires ›

The iShares Russell 2000 Worth ETF (NYSEMKT:IWN) prices 4 occasions the expense ratio of the iShares Morningstar Small-Cap Worth ETF (NYSEMKT:ISCV), however provides broader holdings, greater latest returns, and a modest tilt towards actual property over consumer-focused sectors.

Each the iShares Morningstar Small-Cap Worth ETF (ISCV) and the iShares Russell 2000 Worth ETF (IWN) observe U.S. small-cap worth shares, aiming to seize corporations buying and selling at decrease costs relative to fundamentals. This comparability focuses on their prices, efficiency, liquidity, and portfolio make-up to assist make clear which fund’s method could enchantment, relying on private priorities.

Metric

ISCV

IWN

Issuer

iShares

iShares

Expense ratio

0.06%

0.24%

1-yr return (as of 2026-01-05)

11.9%

13.8%

Dividend yield

2.0%

1.7%

AUM

$586.9 million

$12.4 billion

ISCV is extra reasonably priced, charging simply 0.06% in annual charges in comparison with IWN’s 0.24%, and in addition delivers a barely greater yield, which can enchantment to cost-conscious, or income-focused, traders.

Metric

ISCV

IWN

Max drawdown (5 y)

-25.35%

-26.71%

Progress of $1,000 over 5 years

$1,657

$1,534

IWN tracks a Russell index of small-cap U.S. shares with worth traits, holding 1,407 securities as of its 25.4-year historical past. Its sector allocation leans most closely on monetary companies (26%), actual property (12%), and industrials (11%), with prime holdings together with Blk Csh Fnd Treasury Sl Company (XTSLA) 0.99%, Echostar (NASDAQ:SATS) 0.98%, and Hecla Mining (NYSE:HL) 0.61%.

ISCV additionally focuses on U.S. small-cap worth, however with a barely totally different sector combine: monetary companies (21%), shopper cyclical (16%), and industrials (13%). Amongst its 1,101 holdings, prime positions are Sandisk (NASDAQ:SNDK) 0.93%, Blk Csh Fnd Treasury Sl Company (XTSLA) 0.89%, and Rocket Corporations (NYSE:RKT) 0.60%. Neither fund introduces leverage, ESG, or different structural quirks.

For extra steering on ETF investing, try the complete information at this hyperlink.

Each of those funds share many comparable traits, nevertheless, there are some key variations traders ought to think about.

For instance, whereas each funds goal small-cap shares, there are variations of their holdings. IWN leans extra closely on the monetary sector, with 26% of its general holdings in that business. ISCV, by comparability, has solely 21% of its whole holdings within the monetary sector.

One other key distinction is value. IWN has an expense ratio of 0.24%. That is not dangerous, however ISCV boasts a a lot decrease expense ratio of 0.06%. To place this in context, somebody who invests $10,000 in IWN would anticipate to pay $24 in annual charges; the identical investor would pay $6 in annual charges for $10,000 value of ISCV shares.

Granted, this quantity is not earth-shattering, however for cost-conscious traders it might probably make it distinction.

Lastly, there are two different key factors of divergence: dividend yield and liquidity.

ISCV provides a barely greater dividend yield at 2.0% versus 1.7% for IWN — making ISCV a better option for these looking for earnings from their funding. As for liquidity, IWN has over $12 billion in property below administration. ISCV, in contrast, has about $600 million. Whereas $600 million ought to present ample liquidity for traders to commerce out and in of shares, it’s close to a degree the place bid-ask spreads may start to widen, significantly throughout a correction or bear market. Due to this fact, traders involved with liquidity threat is likely to be sensible to pick out IWN.

Expense ratio: The annual payment, as a share of property, {that a} fund prices to cowl working prices.
Dividend yield: The annual dividends paid by a fund, expressed as a share of its present value.
Complete return: The funding’s value change plus all dividends and distributions, assuming these payouts are reinvested.
Max drawdown: The biggest share drop from a fund’s peak worth to its lowest level over a selected interval.
Beta: A measure of a fund’s volatility in comparison with the general market, usually the S&P 500.
AUM (Property Below Administration): The overall market worth of all property managed by a fund.
Small-cap: Refers to corporations with comparatively small market capitalizations, usually between $300 million and $2 billion.
Worth shares: Shares thought of undervalued primarily based on monetary metrics like earnings, gross sales, or guide worth.
Shopper cyclical: Sector together with corporations whose gross sales are delicate to financial cycles, like retailers, or automakers.
Securities: Monetary devices that may be traded, akin to shares, bonds, or ETFs.
Leverage: Using borrowed cash to extend potential funding returns, or losses.

Ever really feel such as you missed the boat in shopping for essentially the most profitable shares? Then you definitely’ll need to hear this.

On uncommon events, our professional staff of analysts points a “Double Down” inventory suggestion for corporations that they suppose are about to pop. If you happen to’re fearful you’ve already missed your likelihood to take a position, now could be the most effective time to purchase earlier than it’s too late. And the numbers converse for themselves:

  • Nvidia: in case you invested $1,000 once we doubled down in 2009, you’d have $479,385!*

  • Apple: in case you invested $1,000 once we doubled down in 2008, you’d have $49,331!*

  • Netflix: in case you invested $1,000 once we doubled down in 2004, you’d have $482,326!*

Proper now, we’re issuing “Double Down” alerts for 3 unbelievable corporations, accessible once you be a part of Inventory Advisor, and there might not be one other likelihood like this anytime quickly.

See the three shares »

*Inventory Advisor returns as of January 5, 2026

Jake Lerch has no place in any of the shares talked about. The Motley Idiot has positions in and recommends Rocket Corporations. The Motley Idiot has a disclosure coverage.

ISCV vs. IWN: ISCV Presents Decrease Prices However IWN Offers Higher Liquidity was initially revealed by The Motley Idiot

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