SPYL vs AVWC: which ETF won each year?
Yearly returns side by side, one winner per year — dividends included, priced as you'd actually buy them.
Every figure here is in euros — what you'd actually pocket buying on Xetra. Fund fact sheets usually headline returns in US dollars, which can look very different: in 2025 a world tracker rose about 23% in dollars but only about 9% in euros, because the euro gained roughly 13% against the dollar. Here's the full story, year by year.
SPYLtracks the S&P 500 Index
AvantisAVWCtracks the Avantis Global Equity strategy
SPYL tracks the S&P 500 Index
What did the last 1 years do to €10,000?
You invest €10,000 at the start of the window and touch nothing — dividends reinvested, the running year not counted. Both funds are measured over the same 1 full years (2025–2025) — the longest stretch both were trading.
SPYL vs AVWC, year by year
Calendar-year total returns (dividends included) side by side, and who took the crown each year. A dash means the fund did not exist yet.
| Year | SPYL | AVWC | Winner |
|---|---|---|---|
| 2026 (so far) | +12.05% | +16.36% | AVWC |
| 2025 | +4.71% | +9.08% | AVWC |
| 2024 | +32.33% | +2.94% | SPYL |
| 2023 | +8.23% | — | — |
SPYL vs AVWC in plain words
SPYL tracks the S&P 500 Index while AVWC follows the Avantis Global Equity strategy, so they own different slices of the market and their years can look very different. SPYL charges 0.03% a year in running costs and AVWC charges 0.22% — SPYL is the cheaper fund to hold.
Both are accumulating funds: dividends are reinvested inside the fund and show up as a higher share price, never as a payout. Across the 3 calendar years both funds were trading, SPYL finished the year ahead 1 times and AVWC 2 times. €10,000 invested at the start of 2025 was worth €10,471 in SPYL versus €10,908 in AVWC by the end of 2025, dividends reinvested.
SPYL also trades in USD on the London Stock Exchange, where SPXL is its GBP line, ISIN IE000XZSV718 — this page follows its EUR line on Xetra.
Actively managed: it tilts a broad developed-market portfolio towards cheaper, more profitable and smaller companies rather than following an index, and measures itself against the MSCI World IMI.
Fund facts: SPYL vs AVWC
| Fact | SPYL | AVWC |
|---|---|---|
| Fund | SPDR S&P 500 UCITS ETF (Acc) | Avantis Global Equity UCITS ETF USD Acc |
| Tracks | S&P 500 Index | Avantis Global Equity strategy |
| Yearly cost (TER) | 0.03% | 0.22% |
| Dividends | Accumulating — dividends reinvested | Accumulating — dividends reinvested |
| Launched | 31 Oct 2023 | 25 Sept 2024 |
| ISIN | IE000XZSV718 | IE000RJECXS5 |
| WKN | A3EUC1 | A40GB8 |
Frequently asked
Is SPYL or AVWC better?
Across the 3 calendar years both funds were trading, SPYL finished the year ahead 1 times and AVWC 2 times. €10,000 invested at the start of 2025 was worth €10,471 in SPYL versus €10,908 in AVWC by the end of 2025, dividends reinvested. Past returns don't promise future ones — but this is what actually happened.
What is the difference between SPYL and AVWC?
SPYL tracks the S&P 500 Index while AVWC follows the Avantis Global Equity strategy, so they own different slices of the market and their years can look very different. SPYL charges 0.03% a year in running costs and AVWC charges 0.22% — SPYL is the cheaper fund to hold. Both are accumulating funds: dividends are reinvested inside the fund and show up as a higher share price, never as a payout.
What would €10,000 in SPYL have become?
€10,000 invested in SPYL at the start of 2025 grew to €10,471 by the end of 2025, with dividends reinvested — an average of 4.7% per year.
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