CDL vs. RSPF ETF Comparison

Comparison of Compass EMP US Large Cap High Dividend 100 Volatility Weighted Index ETF (CDL) to Invesco S&P 500 Equal Weight Financial ETF (RSPF)
CDL

Compass EMP US Large Cap High Dividend 100 Volatility Weighted Index ETF

CDL Description

The investment seeks to provide investment results that match the performance of the CEMP US Large Cap High Dividend 100 Volatility Weighted Index. The index is an unmanaged index that was created by the fund's investment advisor and generally consists of the common stock of the 100 highest dividend yielding stocks of the CEMP US Large Cap 500 Volatility Weighted Index, which consists of the common stock of the 500 largest companies by market capitalization that have their headquarters in the U.S. and the stock of which trades on U.S. exchanges. Normally the fund invests at least 80% of its assets in the stocks of U.S. issuers included in the index.

Grade (RS Rating)

Last Trade

$68.30

Average Daily Volume

11,583

Number of Holdings *

100

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

Invesco S&P 500 Equal Weight Financial ETF

RSPF Description The fund generally will invest at least 90% of its total assets in securities that comprise the underlying index. The underlying index is composed of all of the components of the S&P 500® Financials Index, an index that contains the common stocks of all companies included in the S&P 500® Index that are classified as members of the financials sector, as defined according to the Global Industry Classification Standard (GICS).

Grade (RS Rating)

Last Trade

$75.43

Average Daily Volume

12,480

Number of Holdings *

71

* may have additional holdings in another (foreign) market
Performance
Period CDL RSPF
30 Days -0.60% 4.44%
60 Days 2.55% 10.24%
90 Days 6.09% 14.53%
12 Months 29.06% 44.16%
17 Overlapping Holdings
Symbol Grade Weight in CDL Weight in RSPF Overlap
C A 0.95% 1.49% 0.95%
CFG A 0.75% 1.45% 0.75%
CME A 1.29% 1.29% 1.29%
FITB A 0.87% 1.38% 0.87%
HBAN A 0.94% 1.53% 0.94%
KEY A 0.72% 1.5% 0.72%
MET A 1.16% 1.34% 1.16%
MS A 1.15% 1.65% 1.15%
MTB A 0.99% 1.56% 0.99%
NTRS A 1.07% 1.51% 1.07%
PFG C 1.17% 1.34% 1.17%
PNC A 0.97% 1.45% 0.97%
PRU A 0.97% 1.35% 0.97%
RF A 0.87% 1.46% 0.87%
STT B 1.1% 1.44% 1.1%
TROW A 1.01% 1.45% 1.01%
USB B 0.88% 1.4% 0.88%
CDL Overweight 83 Positions Relative to RSPF
Symbol Grade Weight
KMI A 1.63%
WMB A 1.48%
ETR A 1.45%
NI A 1.41%
OKE A 1.38%
PPL A 1.38%
DUK C 1.36%
PM A 1.35%
SRE A 1.34%
CSCO B 1.34%
SO C 1.28%
EVRG A 1.28%
PAYX B 1.28%
JNJ D 1.27%
CMS C 1.23%
T A 1.23%
ED D 1.22%
PEP F 1.22%
FE D 1.22%
CVX A 1.21%
LNT A 1.18%
WEC A 1.18%
XOM B 1.18%
MDT D 1.17%
MO A 1.17%
AEE A 1.15%
CNP A 1.14%
ABBV F 1.12%
CMCSA B 1.11%
EIX C 1.1%
OMC C 1.08%
DRI B 1.08%
AEP C 1.07%
DTE C 1.06%
KMB C 1.05%
EOG A 1.05%
CLX A 1.03%
TAP A 1.03%
GILD B 1.03%
XEL A 1.01%
LYB F 1.01%
VZ C 1.0%
IBM D 0.99%
DOW F 0.98%
KHC F 0.98%
GIS D 0.98%
SJM F 0.97%
EXC C 0.97%
CTRA A 0.97%
EMN C 0.96%
D C 0.95%
IPG F 0.95%
CPB D 0.94%
HSY F 0.92%
OWL A 0.91%
CAG F 0.91%
FNF C 0.9%
GLW B 0.89%
IP A 0.85%
KVUE A 0.83%
AMGN D 0.81%
FANG D 0.8%
DVN F 0.8%
GPC D 0.79%
OVV C 0.79%
UPS C 0.79%
PSX C 0.78%
CRBG B 0.77%
BG D 0.76%
STX D 0.72%
HRL D 0.71%
VLO C 0.7%
HPQ B 0.69%
TGT D 0.66%
CVS F 0.65%
MMM D 0.58%
ALLY C 0.58%
F C 0.55%
BBY C 0.54%
ADM D 0.5%
AES F 0.47%
DG F 0.4%
EL F 0.39%
CDL Underweight 54 Positions Relative to RSPF
Symbol Grade Weight
SYF A -1.73%
RJF A -1.68%
COF A -1.68%
DFS A -1.68%
WFC A -1.67%
AMP A -1.57%
KKR A -1.55%
GS A -1.54%
FI A -1.51%
SCHW A -1.49%
PYPL A -1.47%
BX A -1.47%
JPM A -1.46%
BAC A -1.46%
IVZ B -1.44%
BK A -1.43%
CPAY A -1.42%
AXP A -1.4%
TFC A -1.39%
AON A -1.38%
CINF A -1.37%
WTW B -1.37%
MKTX C -1.35%
BRO B -1.35%
AIZ A -1.35%
NDAQ A -1.35%
BEN C -1.35%
TRV A -1.34%
V A -1.34%
FDS A -1.34%
MA A -1.33%
GL B -1.32%
AIG B -1.32%
L A -1.32%
BRK.A A -1.3%
FIS B -1.3%
WRB A -1.29%
JKHY D -1.29%
MSCI A -1.29%
ALL A -1.28%
GPN B -1.28%
HIG C -1.26%
PGR B -1.26%
AFL C -1.25%
MMC C -1.23%
MCO C -1.23%
AJG A -1.23%
CB C -1.22%
ICE C -1.22%
SPGI C -1.21%
CBOE D -1.2%
EG D -1.19%
ACGL C -1.12%
ERIE F -1.03%
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