BYLD vs. ERNZ ETF Comparison

Comparison of iShares Yield Optimized Bond ETF (BYLD) to TrueShares Active Yield ETF (ERNZ)
BYLD

iShares Yield Optimized Bond ETF

BYLD Description

The investment seeks to track the investment results of an index composed of underlying fixed income funds that collectively seek to deliver current income. The fund invests primarily in underlying funds that themselves seek investment results corresponding to their own underlying indexes. The fund also invests in a combination of other exchange-traded funds ("ETFs") (including other iShares ETFs), cash and cash equivalents, including shares of money market funds advised by BFA or its affiliates ("BlackRock Cash Funds"). The underlying index is a broadly diversified fixed income index that seeks to deliver current income.

Grade (RS Rating)

Last Trade

$22.48

Average Daily Volume

60,634

Number of Holdings *

6

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

TrueShares Active Yield ETF

ERNZ Description The fund is an actively-managed ETF that seeks to deliver above-average yield relative to the broader market by purchasing a portfolio of 50 to 150 income generating securities. In pursuing its investment objective the fund also employs a secondary focus on capital preservation and the opportunity for long term growth of capital by seeking lower relative volatility compared to the broader market. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$24.92

Average Daily Volume

11,268

Number of Holdings *

158

* may have additional holdings in another (foreign) market
Performance
Period BYLD ERNZ
30 Days -0.21% -0.74%
60 Days -0.07% 2.86%
90 Days 1.73% 2.97%
12 Months 10.21%
1 Overlapping Holdings
Symbol Grade Weight in BYLD Weight in ERNZ Overlap
FLOT A 10.1% 0.14% 0.14%
BYLD Overweight 5 Positions Relative to ERNZ
Symbol Grade Weight
IGLB D 25.25%
SGOV B 24.01%
USHY A 20.08%
EMHY A 10.06%
CMBS D 9.93%
BYLD Underweight 157 Positions Relative to ERNZ
Symbol Grade Weight
CLM A -3.22%
ABR B -3.14%
GOF A -3.09%
NAT F -2.75%
INSW F -2.71%
DHT F -2.71%
HTGC B -2.63%
PSEC C -2.6%
GNL D -2.5%
CRF A -2.36%
TSLX F -2.15%
ECC B -1.97%
RC F -1.85%
OXLC A -1.83%
XMHQ B -1.82%
DX C -1.57%
NEP F -1.56%
PDI C -1.53%
QYLD A -1.45%
FSK A -1.33%
KRP A -1.32%
AGNC D -1.22%
BCC B -1.17%
DKS F -1.11%
CWH C -1.04%
DAC C -1.01%
FRO F -0.94%
USFR A -0.82%
GSBD F -0.79%
CCOI B -0.69%
KR B -0.69%
ABBV B -0.67%
GFF C -0.67%
GBDC B -0.63%
FCT A -0.62%
TFLO B -0.61%
GILD A -0.59%
STNG F -0.56%
CNA D -0.56%
SBR B -0.55%
GBIL B -0.54%
PMT D -0.53%
SHV B -0.53%
WSO A -0.53%
BKLN A -0.52%
KREF C -0.5%
ARES B -0.49%
LVHI A -0.49%
GNK D -0.45%
PULS C -0.44%
BIL A -0.44%
BTI D -0.42%
UNIT B -0.42%
RA B -0.42%
SCHO C -0.4%
ARCH B -0.4%
BIZD B -0.39%
BXMT B -0.39%
NEM D -0.37%
SRLN A -0.37%
BGS F -0.37%
CWEN D -0.35%
FLBL A -0.35%
COKE D -0.35%
DDS C -0.33%
NEAR C -0.33%
GIS F -0.32%
SAH B -0.3%
ICSH A -0.29%
PAG C -0.29%
FLTR A -0.29%
ARCC B -0.29%
ALB C -0.29%
APAM B -0.29%
CTRA D -0.29%
VRIG A -0.28%
COST B -0.28%
MINT A -0.28%
ETD F -0.28%
TRGP A -0.27%
TSCO C -0.27%
DVN F -0.27%
WINA B -0.27%
AMRK F -0.27%
BAH C -0.27%
VNLA A -0.26%
OVV D -0.26%
BRSP C -0.26%
GFI C -0.25%
CVI F -0.25%
MPW D -0.24%
FTSL A -0.24%
FLRN A -0.24%
OHI C -0.24%
GOGL D -0.24%
JCPB D -0.22%
FANG F -0.22%
CAH A -0.22%
PBI A -0.21%
JMST B -0.2%
HYGV A -0.2%
FTSM A -0.2%
DEA C -0.2%
LYTS A -0.2%
ACP A -0.19%
SHY C -0.19%
CLX C -0.19%
IPAR C -0.18%
MUR F -0.18%
MO B -0.18%
USDU B -0.18%
SQM F -0.18%
ASC F -0.16%
IIPR D -0.16%
RYLD A -0.16%
PCAR B -0.16%
HSY F -0.16%
PNNT B -0.15%
GOVT D -0.15%
JPST C -0.15%
XYLD B -0.15%
ZROZ F -0.15%
VIRT B -0.14%
FHI B -0.14%
EDV F -0.14%
PFE F -0.14%
KMB F -0.14%
HLI B -0.14%
VGLT F -0.14%
OLN F -0.13%
KOF F -0.13%
CPB F -0.13%
UTG B -0.13%
CIVI D -0.13%
AGZD A -0.12%
PTEN D -0.12%
LGOV D -0.12%
SJNK A -0.12%
MAIN B -0.12%
CL F -0.12%
UVV C -0.12%
NGG D -0.12%
PEP F -0.11%
K B -0.11%
PG F -0.11%
WMK B -0.11%
AGZ C -0.11%
LADR C -0.11%
HRB C -0.1%
MPC F -0.09%
JMBS D -0.09%
RDY D -0.09%
USA A -0.08%
RAVI A -0.05%
ARI F -0.05%
PFLT D -0.04%
IEF D -0.04%
Compare ETFs