BBP vs. PAMC ETF Comparison

Comparison of BioShares Biotechnology Products Fund (BBP) to Pacer Lunt MidCap Multi-Factor Alternator ETF (PAMC)
BBP

BioShares Biotechnology Products Fund

BBP Description

The BioShares Biotechnology Products Fund (BBP) seeks investment results that correspond, before fees and expenses, to the price and yield performance of the LifeSci Biotechnology Products Index.

Grade (RS Rating)

Last Trade

$64.00

Average Daily Volume

2,308

Number of Holdings *

59

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

Pacer Lunt MidCap Multi-Factor Alternator ETF

PAMC Description The investment seeks to track the total return performance, before fees and expenses, of the Lunt Capital U.S. MidCap Multi-Factor Rotation Index. Under normal circumstances, at least 80% of the fund’s total assets (exclusive of collateral held from securities lending) will be invested in the component securities of its underlying index or in one or more ETFs that track the performance of all or a portion of such component securities in the same approximate proportion as in the fund’s underlying index. The index uses an objective, rules-based methodology to provide exposure to mid-capitalization U.S. companies. It is non-diversified.

Grade (RS Rating)

Last Trade

$45.95

Average Daily Volume

8,725

Number of Holdings *

142

* may have additional holdings in another (foreign) market
Performance
Period BBP PAMC
30 Days 1.17% 2.12%
60 Days 3.21% 1.48%
90 Days 12.08% 4.49%
12 Months 25.16% 31.67%
2 Overlapping Holdings
Symbol Grade Weight in BBP Weight in PAMC Overlap
NBIX F 1.32% 1.04% 1.04%
SRPT F 1.46% 1.52% 1.46%
BBP Overweight 57 Positions Relative to PAMC
Symbol Grade Weight
TVTX B 2.73%
ADMA B 2.46%
PHAT B 2.45%
ALNY B 2.43%
MIRM D 2.26%
TGTX B 2.08%
RARE B 2.0%
AUPH C 1.93%
HRMY B 1.92%
GILD B 1.91%
BNTX C 1.89%
LGND C 1.89%
AXSM C 1.89%
BCRX C 1.86%
HALO B 1.84%
IOVA D 1.8%
INSM D 1.78%
EXEL B 1.77%
BGNE C 1.75%
UTHR C 1.73%
LEGN F 1.69%
YMAB C 1.67%
REGN C 1.65%
RYTM B 1.64%
AMGN B 1.63%
ITCI D 1.62%
KRYS D 1.62%
DAWN F 1.6%
ACAD F 1.59%
FOLD D 1.56%
ZLAB C 1.53%
IONS F 1.5%
VRTX D 1.49%
INCY C 1.49%
BMRN F 1.48%
TARS C 1.47%
AGIO D 1.46%
ARDX D 1.43%
SWTX F 1.4%
TBPH F 1.39%
ASND C 1.37%
GERN D 1.36%
LXRX F 1.36%
DVAX D 1.36%
PTCT C 1.35%
NVAX D 1.33%
BBIO D 1.32%
APLS F 1.3%
MDGL F 1.28%
IMCR F 1.24%
BPMC D 1.23%
BIIB F 1.23%
IRWD F 1.12%
CRSP F 1.1%
SAGE F 1.0%
ESPR F 0.96%
MRNA F 0.69%
BBP Underweight 140 Positions Relative to PAMC
Symbol Grade Weight
IBKR B -2.1%
JEF B -1.78%
WING B -1.52%
BURL B -1.47%
OHI A -1.45%
RRX C -1.31%
BRX B -1.3%
XPO D -1.26%
POST C -1.15%
TTEK C -1.13%
GATX D -1.06%
PNM B -1.04%
POR B -1.04%
COHR B -1.02%
HRB C -1.01%
EPR B -0.98%
BRBR B -0.96%
SBRA B -0.94%
PLNT A -0.94%
OVV D -0.94%
AVT D -0.92%
GMED D -0.92%
CHDN C -0.89%
CCK A -0.87%
NVT D -0.86%
LNW B -0.86%
ATR B -0.85%
TKO B -0.84%
CG C -0.83%
CW B -0.81%
PR D -0.8%
FYBR C -0.8%
SEIC B -0.8%
VOYA A -0.76%
DTM B -0.76%
CACI B -0.73%
INGR A -0.73%
ORI A -0.72%
GLPI B -0.72%
EHC B -0.71%
IDA B -0.71%
THG A -0.71%
ADC C -0.71%
SON C -0.71%
RGA B -0.71%
ALLY F -0.71%
WEX C -0.71%
OGE B -0.7%
DCI D -0.7%
LAD C -0.7%
NNN B -0.69%
DBX D -0.69%
AMH C -0.69%
AM B -0.69%
NJR B -0.68%
ELS C -0.68%
FHI A -0.68%
AFG B -0.67%
RLI B -0.66%
G C -0.66%
ESNT B -0.66%
GGG C -0.66%
NWE A -0.66%
STWD A -0.65%
SR B -0.65%
GNTX F -0.64%
CHE C -0.64%
HLI B -0.64%
USFD B -0.63%
NFG B -0.63%
CYTK F -0.63%
FLO C -0.63%
GTLS F -0.63%
EGP B -0.63%
MDU B -0.63%
STAG C -0.62%
PRI B -0.62%
ALE A -0.62%
AMG C -0.62%
RPM B -0.62%
SF A -0.62%
ACM B -0.62%
MTG B -0.61%
FR C -0.61%
MTDR D -0.6%
LSTR D -0.59%
OGS B -0.59%
FLS D -0.59%
CIVI F -0.59%
JHG B -0.58%
SNX D -0.58%
MSA C -0.58%
MUSA C -0.58%
SLGN B -0.58%
NEU D -0.58%
BKH B -0.58%
UNM B -0.58%
GEF D -0.57%
MMS D -0.56%
VNO B -0.55%
MAN C -0.55%
PPC D -0.55%
TXRH D -0.55%
R B -0.54%
NYT C -0.54%
WTRG D -0.54%
KBR D -0.54%
DAR F -0.52%
DLB D -0.52%
RH B -0.52%
CHRD F -0.48%
BCO B -0.47%
KRG B -0.44%
FIVE D -0.44%
KD D -0.42%
CNXC D -0.41%
WHR D -0.41%
TNL D -0.4%
LITE B -0.39%
GBCI B -0.38%
AN D -0.33%
SMG C -0.33%
CC F -0.32%
NSA B -0.31%
IRT B -0.31%
NEOG C -0.28%
BHF D -0.28%
SHC B -0.26%
VAL F -0.26%
PK D -0.25%
ARWR F -0.24%
JWN B -0.23%
HGV D -0.22%
CAR F -0.22%
ASB D -0.22%
CHH C -0.2%
PGNY F -0.19%
VAC F -0.18%
GT F -0.16%
WOLF F -0.15%
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