BBLU vs. OMFL ETF Comparison

Comparison of EA Bridgeway Blue Chip ETF (BBLU) to Invesco Russell 1000 Dynamic Multifactor ETF (OMFL)
BBLU

EA Bridgeway Blue Chip ETF

BBLU Description

BBLU offers concentrated exposure to US blue-chip stocks. The selection process starts with the largest 150 US companies by market-cap. The sub-adviser narrows down the initial universe based on a model-driven statistical approach that considers both market capitalization and industry diversification. Additionally, the funds investment process incorporates financially material ESG information and excludes companies involved in the tobacco industry, those with direct or indirect business tied to Sudan, and those engaged in production or trade of pornographic material. Investors should note that ESG information is just one investment consideration and is not the sole determinant of the funds holdings. The portfolio typically holds approximately 35 stocks, more or less due to corporate actions. On October 17, 2022, it converted from the mutual fund Bridgeway Blue Chip Fund (Ticker: BRLIX) to an ETF with $194 million in assets.

Grade (RS Rating)

Last Trade

$13.09

Average Daily Volume

58,804

Number of Holdings *

37

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

Invesco Russell 1000 Dynamic Multifactor ETF

OMFL Description The investment seeks to track the investment results (before fees and expenses) of the Russell 1000® Invesco Dynamic Multifactor Index. The fund generally will invest at least 80% of its total assets in the securities that comprise the underlying index. The underlying index is designed to select equity securities from within the Russell 1000® Index, which measures the performance of the 1,000 largest-capitalization companies in the United States. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$53.87

Average Daily Volume

417,265

Number of Holdings *

245

* may have additional holdings in another (foreign) market
Performance
Period BBLU OMFL
30 Days 1.16% 0.26%
60 Days 4.72% 3.39%
90 Days 7.43% 7.21%
12 Months 32.18% 16.04%
30 Overlapping Holdings
Symbol Grade Weight in BBLU Weight in OMFL Overlap
AAPL C 3.37% 3.57% 3.37%
AMZN B 2.7% 5.18% 2.7%
AVGO C 3.82% 3.51% 3.51%
BRK.A A 2.42% 5.18% 2.42%
CMCSA B 2.47% 0.08% 0.08%
CSCO B 2.58% 0.27% 0.27%
CVX A 2.62% 0.15% 0.15%
DIS A 2.69% 0.05% 0.05%
GOOG B 1.27% 2.15% 1.27%
GOOGL B 1.26% 2.4% 1.26%
HD A 2.38% 1.27% 1.27%
JNJ D 2.24% 0.29% 0.29%
JPM A 4.26% 0.17% 0.17%
KO D 2.06% 0.21% 0.21%
LLY F 3.29% 2.24% 2.24%
MA A 2.5% 2.36% 2.36%
MCD D 2.33% 0.08% 0.08%
META C 3.87% 4.98% 3.87%
MRK F 2.05% 0.67% 0.67%
MSFT D 3.51% 4.36% 3.51%
NVDA B 4.62% 5.28% 4.62%
PEP F 2.3% 0.15% 0.15%
PG C 2.28% 1.17% 1.17%
QCOM F 2.3% 0.85% 0.85%
RTX D 2.66% 0.17% 0.17%
UNH B 2.41% 1.13% 1.13%
V A 3.51% 3.19% 3.19%
VZ C 2.15% 0.26% 0.26%
WMT A 2.49% 2.61% 2.49%
XOM B 2.45% 0.77% 0.77%
BBLU Overweight 7 Positions Relative to OMFL
Symbol Grade Weight
TSLA B 3.46%
WFC A 3.07%
BAC A 2.74%
ORCL A 2.63%
INTC C 2.52%
UPS C 2.29%
PFE F 2.14%
BBLU Underweight 215 Positions Relative to OMFL
Symbol Grade Weight
COST B -4.98%
BKNG A -1.34%
INTU A -1.28%
ABBV F -1.26%
CRM A -1.02%
CAT B -0.95%
MCK A -0.94%
ETN A -0.84%
TT A -0.76%
PGR B -0.74%
TJX A -0.69%
GE D -0.68%
ADBE F -0.65%
AMAT F -0.63%
ANET C -0.61%
VRTX C -0.59%
LIN D -0.58%
MSI A -0.55%
MMC C -0.55%
CMG B -0.54%
CTAS B -0.51%
REGN F -0.49%
CL D -0.47%
SNPS C -0.44%
NOW B -0.43%
KLAC F -0.42%
GWW A -0.41%
MCO C -0.41%
NFLX A -0.39%
GD D -0.38%
PCAR B -0.37%
ISRG A -0.37%
WM B -0.36%
PM A -0.35%
TMUS A -0.34%
LRCX F -0.34%
GRMN B -0.33%
ACN C -0.33%
SHW B -0.32%
APH B -0.32%
MO A -0.31%
CMI A -0.29%
ACGL C -0.28%
CDNS B -0.27%
AMGN D -0.26%
AXP A -0.26%
PAYX B -0.26%
ELV F -0.25%
ADP B -0.25%
CB C -0.23%
IBM D -0.23%
FI A -0.23%
EME B -0.22%
FAST B -0.22%
HLT A -0.21%
FICO A -0.21%
CBOE D -0.21%
BSX B -0.2%
VST A -0.2%
RSG B -0.2%
TSCO D -0.18%
CARR D -0.18%
ODFL B -0.18%
CASY B -0.18%
ORLY A -0.17%
IR A -0.17%
A D -0.16%
ADI D -0.16%
FTNT A -0.16%
BR A -0.15%
CI D -0.15%
SYK A -0.15%
CPRT A -0.15%
MMM D -0.15%
TXN C -0.14%
COR B -0.14%
GEV A -0.14%
DHI D -0.13%
VRSK B -0.13%
DHR D -0.13%
AZO C -0.13%
BLK A -0.13%
HLI A -0.12%
ROL A -0.12%
NEE C -0.12%
BRO B -0.12%
SPGI C -0.12%
PWR A -0.12%
CAH B -0.12%
MLM B -0.11%
NVR D -0.11%
ITT A -0.11%
PANW B -0.11%
DUK C -0.11%
LMT D -0.11%
ECL D -0.11%
ITW B -0.11%
T A -0.11%
CSL B -0.11%
WSO A -0.1%
LEN D -0.1%
MAR A -0.1%
LII B -0.1%
TMO D -0.1%
WAB B -0.1%
UNP D -0.1%
BX A -0.09%
LDOS C -0.09%
LOW A -0.08%
TW B -0.08%
BRBR A -0.08%
BAH D -0.08%
SO C -0.08%
CW B -0.08%
SNA A -0.08%
CR A -0.08%
CNM F -0.08%
PHM D -0.08%
ROST D -0.08%
PSA C -0.08%
HON A -0.08%
ABT B -0.08%
PEG C -0.08%
LPLA A -0.07%
OTIS D -0.07%
FDS A -0.07%
URI B -0.07%
CHD A -0.07%
AAON A -0.07%
VMC B -0.07%
KEYS C -0.07%
FIX A -0.07%
HWM A -0.07%
JCI A -0.06%
SPOT A -0.06%
EXP B -0.06%
SCCO F -0.06%
NRG B -0.06%
OC A -0.06%
HRB D -0.06%
GEHC D -0.06%
ALSN B -0.06%
IT B -0.06%
PKG B -0.06%
KR B -0.06%
CNC F -0.06%
MSCI A -0.06%
NTAP D -0.06%
HUM F -0.06%
J D -0.05%
GNTX C -0.05%
FDX A -0.05%
IFF D -0.05%
SSD D -0.05%
DPZ C -0.05%
UTHR B -0.05%
EA A -0.05%
AYI A -0.05%
WST C -0.05%
FIS B -0.05%
AFL C -0.05%
KNSL C -0.05%
PYPL A -0.05%
DD D -0.05%
GDDY A -0.05%
APD A -0.04%
AWI A -0.04%
MKL A -0.04%
CVS F -0.04%
PNR A -0.04%
MDT D -0.04%
CTSH B -0.04%
MPWR F -0.04%
AEP C -0.04%
AME A -0.04%
DECK A -0.04%
NUE D -0.04%
ATR B -0.04%
WMB A -0.04%
DOV A -0.04%
ROK A -0.04%
NBIX D -0.04%
LOPE B -0.04%
MDLZ F -0.04%
ADM D -0.04%
AOS F -0.04%
EVR A -0.04%
CINF A -0.04%
EBAY D -0.04%
KMB C -0.04%
DE D -0.04%
RPM A -0.04%
AMD F -0.04%
MAS D -0.04%
COP C -0.04%
TXRH A -0.04%
MTD F -0.03%
TROW A -0.03%
ZTS D -0.03%
MEDP D -0.03%
LECO C -0.03%
BJ B -0.03%
CSX B -0.03%
IDXX F -0.03%
DCI B -0.03%
NEU C -0.03%
EG D -0.03%
CPAY A -0.03%
NYT D -0.03%
SRE A -0.03%
SEIC A -0.03%
AON A -0.03%
NKE D -0.03%
DLTR F -0.02%
WSM F -0.02%
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