CARZ vs. QGRO ETF Comparison

Comparison of First Trust NASDAQ Global Auto Index Fund (CARZ) to American Century STOXX U.S. Quality Growth ETF (QGRO)
CARZ

First Trust NASDAQ Global Auto Index Fund

CARZ Description

The investment seeks investment results that correspond generally to the price and yield (before the fund's fees and expenses) of an equity index called the NASDAQ OMX Global Auto Index(SM). The index is owned and was developed by The NASDAQ OMX Group, Inc. (the "Index Provider"). The index Provider has contracted with Standard & Poor's to calculate and maintain the index. The index is designed to track the performance of the largest and most liquid companies engaged in manufacturing of automobiles. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$56.10

Average Daily Volume

1,791

Number of Holdings *

54

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

American Century STOXX U.S. Quality Growth ETF

QGRO Description The investment seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the iSTOXX American Century USA Quality Growth Index (the "index"). Under normal market conditions, the fund invests at least 80% of its assets, exclusive of collateral held from securities lending, in the component securities of the underlying index. The index is designed to select securities of large- and mid-capitalization U.S. companies with attractive growth and quality fundamentals.

Grade (RS Rating)

Last Trade

$90.35

Average Daily Volume

55,719

Number of Holdings *

178

* may have additional holdings in another (foreign) market
Performance
Period CARZ QGRO
30 Days -0.11% 3.23%
60 Days -5.12% 6.07%
90 Days -4.15% 5.21%
12 Months 7.66% 32.89%
7 Overlapping Holdings
Symbol Grade Weight in CARZ Weight in QGRO Overlap
AAPL C 5.03% 0.84% 0.84%
CRUS D 0.57% 0.69% 0.57%
GOOGL D 4.28% 0.66% 0.66%
MSFT C 4.82% 1.44% 1.44%
NVDA D 4.8% 1.72% 1.72%
QCOM D 4.24% 1.56% 1.56%
TEL D 0.74% 0.16% 0.16%
CARZ Overweight 47 Positions Relative to QGRO
Symbol Grade Weight
TSLA C 4.9%
TSM C 4.77%
AMD D 4.25%
TXN C 2.99%
TM F 2.74%
ADI C 1.84%
MU F 1.61%
INTC F 1.38%
MRVL C 1.07%
NXPI F 0.97%
GM C 0.88%
AUR B 0.83%
PCAR D 0.82%
HMC D 0.72%
F F 0.7%
CMI C 0.67%
MCHP F 0.67%
LCID C 0.66%
NIO C 0.64%
XPEV C 0.57%
BWA D 0.55%
ON D 0.53%
APTV D 0.53%
ALB D 0.52%
SITM B 0.52%
SWKS D 0.52%
STLA F 0.52%
SQM D 0.51%
SLAB D 0.51%
LI D 0.5%
LEA F 0.5%
ST D 0.49%
AMBA C 0.49%
QRVO F 0.49%
BIDU D 0.48%
RIVN F 0.47%
SYNA F 0.45%
LSCC D 0.42%
STM F 0.42%
CHPT F 0.39%
PLUG F 0.38%
ALGM F 0.38%
MXL F 0.36%
RMBS F 0.35%
INDI F 0.31%
LAZR F 0.26%
WOLF F 0.19%
CARZ Underweight 171 Positions Relative to QGRO
Symbol Grade Weight
AMZN C -3.14%
BKNG C -3.09%
VLTO C -3.04%
NOW B -2.68%
KMB D -2.48%
META B -2.46%
CSL B -2.42%
MRK D -2.32%
FTNT C -2.1%
WDAY D -2.03%
VRSN D -2.03%
ADBE F -1.82%
DCI C -1.59%
MANH B -1.53%
EME B -1.5%
PGR B -1.48%
APP C -1.48%
JLL B -1.4%
WMT C -1.34%
ZM C -1.27%
SEIC C -1.25%
RMD C -1.24%
NFLX B -1.23%
NTNX C -1.16%
NBIX F -1.12%
DOCU C -1.04%
SKX D -1.02%
EXEL C -1.02%
AYI B -1.01%
HRB C -1.0%
UBER C -0.99%
INGR B -0.98%
DBX D -0.97%
PLTR B -0.97%
EVR A -0.96%
PANW D -0.96%
GE B -0.88%
MEDP F -0.86%
TXRH C -0.84%
ANET B -0.82%
MPWR C -0.8%
RL C -0.75%
GWW B -0.75%
TTD B -0.69%
HWM B -0.69%
HUBS D -0.69%
BMRN F -0.68%
PODD B -0.65%
ALKS C -0.65%
DECK C -0.65%
HALO C -0.63%
TGT C -0.58%
PSTG F -0.54%
WING B -0.5%
NET D -0.5%
WFRD F -0.43%
TPL B -0.41%
MA B -0.41%
WSM D -0.41%
QLYS F -0.41%
ANF D -0.39%
AXON B -0.38%
TEAM D -0.38%
ESTC F -0.36%
SM F -0.36%
KNSL C -0.34%
DDS F -0.32%
FSS D -0.32%
PEGA C -0.31%
SMAR C -0.31%
FICO B -0.3%
CEG C -0.29%
BURL B -0.29%
NYT C -0.27%
DVA B -0.26%
COKE C -0.26%
NEU D -0.26%
ADSK C -0.26%
IDXX C -0.26%
RPM B -0.26%
CL D -0.26%
GAP F -0.26%
ROST C -0.26%
BMI A -0.25%
GLOB D -0.25%
USFD B -0.25%
SFM B -0.24%
FLS D -0.24%
SPSC D -0.24%
THC A -0.24%
KLAC D -0.23%
UTHR C -0.2%
REYN C -0.18%
ZTS C -0.18%
FRHC B -0.17%
WTS C -0.17%
DT C -0.17%
FFIV B -0.17%
PAYC D -0.17%
NSIT D -0.16%
CRM D -0.16%
VLO F -0.16%
JBL D -0.16%
MSM D -0.16%
REGN C -0.16%
MLI A -0.16%
EXPE C -0.16%
AIT A -0.16%
MAT C -0.16%
AOS D -0.16%
CAT B -0.16%
ALSN B -0.16%
CBT B -0.16%
UHS B -0.16%
COLM C -0.16%
LPX B -0.16%
MTCH C -0.16%
MTD D -0.16%
ABNB D -0.16%
CROX D -0.15%
AMAT D -0.15%
LECO F -0.15%
PVH F -0.15%
LULU D -0.15%
GDDY C -0.15%
FN D -0.14%
LRCX F -0.14%
DKS D -0.14%
TT B -0.11%
TRGP B -0.11%
DUOL B -0.11%
SBAC C -0.1%
GEV B -0.1%
COST B -0.1%
INSP C -0.1%
ITT B -0.09%
LII B -0.09%
FIX B -0.09%
VRT C -0.09%
TW B -0.09%
PEN D -0.09%
AXP B -0.09%
WAB B -0.09%
EXPO A -0.09%
TJX B -0.09%
TMUS C -0.09%
CHRW B -0.09%
RYAN D -0.09%
AXS B -0.09%
TOST C -0.09%
GRMN D -0.09%
ATR B -0.09%
CMG C -0.09%
MCO B -0.09%
ECL B -0.09%
ROL C -0.09%
FE C -0.09%
CTAS B -0.09%
MORN C -0.09%
BRBR C -0.09%
MMSI B -0.09%
IT B -0.09%
BSX B -0.09%
APH D -0.08%
PWR B -0.08%
DDOG D -0.08%
AAON B -0.08%
CRS B -0.08%
ALNY C -0.08%
BKR C -0.08%
TENB F -0.08%
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