ALAI vs. TCAF ETF Comparison

Comparison of Alger AI Enablers & Adopters ETF (ALAI) to T. Rowe Price Exchange-Traded Funds, Inc. T. Rowe Price Capital Appreciation Equity ETF (TCAF)
ALAI

Alger AI Enablers & Adopters ETF

ALAI Description

ALAI focuses on equity securities of firms benefiting from artificial intelligence (AI), targeting both AI Enablersthose developing components for and investing in AI infrastructureand AI Adoptersthose integrating AI to enhance their operations. The fund manager employs fundamental research to select securities, considering factors like revenue, resources devoted to AI, and market share estimates. This process assesses a firms involvement with AI and its potential impact on stock performance in the next one to three years. Additionally, ALAI actively seeks companies experiencing Positive Dynamic Change, or those demonstrating high unit volume growth or significant lifecycle shifts. Investments span all market capitalizations, with at least 25% in AI-related industries like technology, retail, and media. The fund may also include foreign securities and hold cash or equivalents during market volatility or when awaiting investment opportunities. ALAI aims to identify firms at the forefront of AI adoption, striving for sustainable long-term growth.

Grade (RS Rating)

Last Trade

$25.87

Average Daily Volume

10,268

Number of Holdings *

41

* may have additional holdings in another (foreign) market
TCAF

T. Rowe Price Exchange-Traded Funds, Inc. T. Rowe Price Capital Appreciation Equity ETF

TCAF Description The fund normally invests at least 80% of its net assets (including any borrowings for investment purposes) in equity securities. The fund may purchase the stocks of companies of any size, but typically focuses on large U.S. companies. The fund may at times invest significantly in certain sectors, including the information technology and healthcare sectors. It is non-diversified.

Grade (RS Rating)

Last Trade

$34.00

Average Daily Volume

565,915

Number of Holdings *

93

* may have additional holdings in another (foreign) market
Performance
Period ALAI TCAF
30 Days 9.25% 1.74%
60 Days 13.38% 2.92%
90 Days 18.43% 3.99%
12 Months 28.41%
10 Overlapping Holdings
Symbol Grade Weight in ALAI Weight in TCAF Overlap
AAPL C 11.09% 5.34% 5.34%
AMD F 1.01% 1.02% 1.01%
AMZN C 8.81% 4.51% 4.51%
AVGO D 4.14% 1.39% 1.39%
CDNS B 0.56% 0.12% 0.12%
META D 6.72% 2.3% 2.3%
MSFT F 11.86% 8.23% 8.23%
NVDA C 10.98% 6.12% 6.12%
SPGI C 2.88% 0.2% 0.2%
UNH C 1.42% 2.95% 1.42%
ALAI Overweight 31 Positions Relative to TCAF
Symbol Grade Weight
APP B 4.79%
TSM B 2.57%
GOOG C 2.33%
VRT B 2.18%
DKNG B 1.77%
CEG D 1.69%
MELI D 1.45%
ISRG A 1.4%
EQIX A 1.34%
NFLX A 1.34%
ADBE C 1.2%
NRG B 1.02%
SPOT B 1.0%
MU D 0.88%
ASML F 0.81%
SE B 0.8%
PINS D 0.79%
NTRA B 0.74%
NOW A 0.68%
TSLA B 0.63%
DELL C 0.58%
MRVL B 0.48%
UBER D 0.47%
DLR B 0.45%
TTD B 0.43%
WMT A 0.31%
PWR A 0.28%
NEE D 0.27%
SHOP B 0.24%
JPM A 0.22%
HUBS A 0.2%
ALAI Underweight 83 Positions Relative to TCAF
Symbol Grade Weight
GOOGL C -3.12%
FTV C -2.71%
DHR F -2.63%
BDX F -2.48%
RVTY F -2.44%
AEE A -1.91%
ROP B -1.74%
PTC A -1.67%
WCN A -1.64%
CRM B -1.63%
INTU C -1.55%
MA C -1.53%
LLY F -1.5%
CNP B -1.49%
VLTO D -1.49%
RTX C -1.47%
V A -1.44%
DTE C -1.31%
LIN D -1.24%
ABT B -1.24%
MLM B -1.2%
IR B -1.19%
NOC D -1.18%
NI A -1.09%
ICE C -1.06%
MCK B -1.05%
YUM B -1.04%
MMC B -0.98%
ADSK A -0.95%
TMO F -0.93%
HLT A -0.92%
CMS C -0.82%
MCD D -0.78%
TDY B -0.71%
AMT D -0.7%
SCI B -0.68%
AVTR F -0.67%
ELV F -0.67%
ABBV D -0.67%
AJG B -0.62%
HUM C -0.55%
SBAC D -0.55%
GEHC F -0.54%
NXPI D -0.53%
BIIB F -0.53%
KKR A -0.49%
KDP D -0.46%
RSG A -0.44%
AUR C -0.41%
SBUX A -0.38%
NKE D -0.36%
EXC C -0.34%
BKNG A -0.34%
IEX B -0.33%
LRCX F -0.32%
ANSS B -0.32%
CSX B -0.28%
MAR B -0.28%
ARGX A -0.26%
DLTR F -0.25%
ACN C -0.25%
CME A -0.24%
WTW B -0.21%
AME A -0.2%
MS A -0.2%
CMG B -0.16%
SYK C -0.15%
SLB C -0.15%
MSCI C -0.14%
DIS B -0.14%
LNT A -0.12%
KLAC D -0.12%
WEC A -0.12%
XEL A -0.11%
VMC B -0.11%
TW A -0.1%
INFA D -0.1%
GS A -0.1%
PNC B -0.1%
BA F -0.09%
TYL B -0.06%
TT A -0.05%
APH A -0.04%
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