BOUT vs. SXQG ETF Comparison
Comparison of Innovator IBD Breakout Opportunities ETF (BOUT) to 6 Meridian Quality Growth ETF (SXQG)
BOUT
Innovator IBD Breakout Opportunities ETF
BOUT Description
The investment seeks to track, before fees and expenses, the performance of the IBD® Breakout Stocks Index (the "index"). The fund will normally invest at least 80% of its net assets (including investment borrowings) in the equity securities that comprise the index. The index seeks to provide opportunistic investment exposure to those stocks with the potential to "break out," or experience a period of sustained price growth beyond the stock's recent "resistance level," with consideration for various market conditions. The fund is non-diversified. BOUT uses technical analysis to find stocks that are likely to breakout. The funds index relies on an algorithm that establishes a base price (a recent high) for each eligible security. The index then follows the trend for each stock. Selected stocks are ranked by a combination of relative strength and fundamental factors, and then weighted in fixed tiers according to this ranking. In addition, BOUT will move 50% of its portfolio into T-bills based on market signals: a rapid increase in either margin debt or overall stock prices, combined with slowing reversing momentum in the S&P 500. The T-bill position will remain in place until the S&P 500 falls by 50% or show indications of rising momentum. BOUT is rebalanced and reconstituted weekly after the close on Friday. The frequent rebalance schedule means the fund will be highly responsive to the technical factors that drive its strategy, but could also experience high turnover.
Grade (RS Rating)
Last Trade
$41.24
Average Daily Volume
3,050
44
SXQG
6 Meridian Quality Growth ETF
SXQG Description
The investment seeks capital appreciation. The fund is an actively managed exchange-traded fund (ETF) that seeks to achieve its investment objective primarily by investing in equity securities. It invests mainly in common stocks and may invest in the securities of companies of any capitalization. Currently, the Sub-Adviser expects to invest a significant portion of the fund's assets in the securities of companies in the health care and information technology sectors, although this may change from time to time. It is non-diversified.Grade (RS Rating)
Last Trade
$32.71
Average Daily Volume
2,491
78
Performance
Period | BOUT | SXQG |
---|---|---|
30 Days | 10.23% | 5.44% |
60 Days | 10.93% | 6.32% |
90 Days | 11.26% | 7.45% |
12 Months | 34.57% | 28.67% |
BOUT Overweight 41 Positions Relative to SXQG
Symbol | Grade | Weight | |
---|---|---|---|
PACS | F | 4.48% | |
MS | A | 4.47% | |
LBRDK | C | 4.44% | |
NEM | D | 4.42% | |
VIK | B | 4.39% | |
EXPE | B | 4.28% | |
EQIX | A | 4.25% | |
AHR | A | 4.24% | |
IDCC | A | 4.01% | |
ETN | A | 3.82% | |
SPGI | C | 3.81% | |
EQH | B | 3.78% | |
CRM | B | 3.73% | |
BAH | F | 3.73% | |
DVA | B | 3.71% | |
CRDO | B | 2.87% | |
VRNS | D | 2.61% | |
ULS | B | 2.59% | |
IR | B | 2.49% | |
NMIH | D | 2.44% | |
ONON | A | 2.35% | |
COLL | F | 2.23% | |
TSM | B | 1.31% | |
TBBK | B | 1.28% | |
NOW | A | 1.27% | |
CDNA | D | 1.24% | |
SCCO | F | 1.22% | |
SN | D | 1.2% | |
TCOM | B | 1.14% | |
BEKE | D | 1.06% | |
ROAD | A | 0.45% | |
AXON | A | 0.43% | |
TPH | D | 0.42% | |
IBKR | A | 0.42% | |
AVGO | D | 0.42% | |
ALKT | B | 0.42% | |
GMED | A | 0.41% | |
CORT | B | 0.41% | |
ACGL | D | 0.4% | |
PLMR | B | 0.39% | |
JD | D | 0.38% |
BOUT Underweight 75 Positions Relative to SXQG
Symbol | Grade | Weight | |
---|---|---|---|
NVDA | C | -5.85% | |
GOOGL | C | -5.17% | |
META | D | -4.89% | |
AAPL | C | -4.56% | |
MSFT | F | -4.47% | |
V | A | -4.35% | |
MA | C | -4.29% | |
ISRG | A | -3.93% | |
PG | A | -3.82% | |
TJX | A | -3.68% | |
ADBE | C | -3.51% | |
ANET | C | -3.36% | |
ITW | B | -2.79% | |
CTAS | B | -2.62% | |
APO | B | -2.5% | |
REGN | F | -2.4% | |
ADSK | A | -2.35% | |
FTNT | C | -2.2% | |
GWW | B | -1.87% | |
CPRT | A | -1.85% | |
LNG | B | -1.75% | |
PAYX | C | -1.66% | |
FAST | B | -1.66% | |
ODFL | B | -1.51% | |
DDOG | A | -1.49% | |
SYY | B | -1.37% | |
IDXX | F | -1.21% | |
VEEV | C | -1.12% | |
TPL | A | -0.99% | |
DECK | A | -0.96% | |
PINS | D | -0.73% | |
DOCU | A | -0.64% | |
EXPD | D | -0.63% | |
MANH | D | -0.6% | |
ROL | B | -0.54% | |
INCY | C | -0.45% | |
NBIX | C | -0.44% | |
MLI | C | -0.36% | |
EXEL | B | -0.34% | |
AAON | B | -0.33% | |
MEDP | D | -0.31% | |
CHE | D | -0.31% | |
HRB | D | -0.31% | |
APPF | B | -0.29% | |
CVLT | B | -0.27% | |
SPSC | C | -0.24% | |
BMI | B | -0.23% | |
KNTK | B | -0.22% | |
HALO | F | -0.22% | |
CROX | D | -0.22% | |
MGY | A | -0.21% | |
CSWI | A | -0.21% | |
QLYS | C | -0.2% | |
LNTH | D | -0.2% | |
ALKS | B | -0.17% | |
INSP | D | -0.17% | |
LOPE | B | -0.17% | |
FELE | B | -0.16% | |
LRN | A | -0.16% | |
WDFC | B | -0.14% | |
CALM | A | -0.14% | |
LANC | C | -0.13% | |
AGYS | A | -0.12% | |
CRVL | A | -0.12% | |
YETI | C | -0.12% | |
SHOO | D | -0.11% | |
EPAC | B | -0.1% | |
LBRT | D | -0.1% | |
YELP | C | -0.09% | |
CPRX | C | -0.09% | |
PTGX | C | -0.08% | |
CNMD | C | -0.08% | |
GPOR | B | -0.07% | |
NSSC | D | -0.05% | |
PGNY | F | -0.04% |
BOUT: Top Represented Industries & Keywords
SXQG: Top Represented Industries & Keywords