CNAV vs. IYF ETF Comparison

Comparison of Mohr Company Nav ETF (CNAV) to iShares U.S. Financial ETF (IYF)
CNAV

Mohr Company Nav ETF

CNAV Description

CNAV scans for opportunities across all 11 sectors of the S&P 500, in attempt to navigate significant market value fluctuations. The portfolio may focus on just 50 stocks and rebalances whenever a holding exceeds 10% of total assets. Stock selection follows a top-down, tactical approach, evaluating price movements of individual stocks and over 117 sub-industries within the S&P 500 index. The fund holds the strongest-performing stocks when industry data trends are favorable. Conversely, when an industry shows a negative trend, it reallocates to other industries or moves into money market funds. Due to frequent trading, the fund is expected to experience a high portfolio turnover rate and is designed for investors who can withstand large principal value fluctuations.

Grade (RS Rating)

Last Trade

$28.18

Average Daily Volume

20,711

Number of Holdings *

30

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

iShares U.S. Financial ETF

IYF Description The investment seeks to track the investment results of an index composed of U.S. equities in the financial sector. The fund generally invests at least 90% of its assets in securities of the underlying index and in depositary receipts representing securities of the underlying index. It seeks to track the investment results of the Dow Jones U.S. Financials Index (the "underlying index"), which measures the performance of the financial sector of the U.S. equity market. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$117.50

Average Daily Volume

280,997

Number of Holdings *

135

* may have additional holdings in another (foreign) market
Performance
Period CNAV IYF
30 Days 10.71% 7.20%
60 Days 12.04%
90 Days 14.06%
12 Months 49.08%
3 Overlapping Holdings
Symbol Grade Weight in CNAV Weight in IYF Overlap
PGR A 3.06% 2.5% 2.5%
TRV B 3.36% 1.0% 1.0%
WFC A 2.98% 4.36% 2.98%
CNAV Overweight 27 Positions Relative to IYF
Symbol Grade Weight
APP B 7.13%
AXON A 4.5%
VRT B 3.68%
DAY B 3.67%
DASH B 3.63%
GPN B 3.61%
FTNT C 3.6%
VST A 3.5%
LW C 3.47%
NTNX B 3.46%
V A 3.41%
FFIV B 3.3%
CAH B 3.29%
IOT A 3.27%
WDAY B 3.2%
MA B 3.17%
CMG B 3.1%
DRI B 3.05%
DT D 3.03%
MCD D 2.92%
SBAC D 2.82%
BLDR D 2.8%
NOC D 2.73%
NKE F 2.69%
MDLZ F 2.67%
CEG C 2.59%
ERIE D 2.31%
CNAV Underweight 132 Positions Relative to IYF
Symbol Grade Weight
BRK.A B -11.69%
JPM A -9.82%
BAC A -4.69%
GS A -3.13%
SPGI C -2.63%
MS A -2.6%
BLK B -2.59%
C A -2.2%
BX A -2.14%
SCHW B -2.01%
CB C -1.95%
MMC B -1.83%
KKR A -1.69%
ICE C -1.48%
APO B -1.43%
PNC B -1.38%
CME B -1.35%
USB A -1.3%
MCO B -1.25%
AON A -1.24%
AJG A -1.07%
AFL B -1.04%
TFC A -1.04%
COIN C -1.01%
BK A -0.97%
AMP A -0.94%
ALL A -0.86%
MET A -0.82%
AIG B -0.82%
PRU A -0.77%
MSCI C -0.76%
DFS B -0.74%
ACGL C -0.61%
MTB A -0.6%
HIG B -0.58%
FITB B -0.54%
NDAQ A -0.54%
WTW B -0.53%
RJF A -0.51%
ARES A -0.51%
STT B -0.48%
FCNCA A -0.45%
BR A -0.45%
TROW B -0.44%
BRO B -0.44%
HBAN A -0.43%
RF A -0.41%
CINF A -0.39%
LPLA A -0.39%
MKL A -0.37%
NTRS A -0.36%
HOOD B -0.36%
CFG B -0.35%
CBOE C -0.35%
PFG D -0.33%
IBKR A -0.32%
FDS B -0.31%
KEY B -0.3%
WRB A -0.3%
EG C -0.27%
L A -0.26%
RGA A -0.26%
FNF B -0.25%
TW A -0.25%
SOFI B -0.24%
EWBC A -0.24%
JEF A -0.22%
RNR C -0.22%
UNM A -0.21%
SF B -0.2%
EQH C -0.2%
CG B -0.19%
FHN A -0.19%
AIZ A -0.19%
OWL A -0.19%
WBS A -0.18%
PRI B -0.18%
EVR B -0.18%
ALLY C -0.17%
GL C -0.17%
NLY C -0.17%
AFG A -0.17%
KNSL B -0.17%
PNFP B -0.16%
ORI A -0.16%
HLI A -0.16%
MKTX D -0.16%
WAL B -0.16%
WTFC A -0.15%
MORN B -0.15%
CFR B -0.14%
VOYA B -0.14%
SNV C -0.14%
CMA B -0.14%
CBSH B -0.14%
ZION B -0.14%
RYAN A -0.13%
SEIC B -0.13%
AXS A -0.12%
AGNC C -0.12%
BPOP C -0.12%
RLI A -0.12%
PB B -0.12%
MTG C -0.11%
BEN C -0.11%
COLB B -0.11%
OMF A -0.11%
FAF A -0.11%
IVZ B -0.11%
TPG A -0.1%
RITM C -0.1%
THG A -0.1%
AMG B -0.1%
JHG B -0.1%
STWD C -0.1%
FNB A -0.1%
LAZ B -0.1%
WTM A -0.09%
OZK B -0.09%
SLM A -0.09%
KMPR A -0.08%
AGO B -0.08%
LNC C -0.07%
BHF C -0.06%
FHB B -0.06%
CACC D -0.05%
VIRT A -0.05%
BOKF B -0.04%
RKT F -0.03%
CNA C -0.02%
UWMC D -0.01%
TFSL A -0.01%
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