DFAW vs. RAVI ETF Comparison

Comparison of Dimensional World Equity ETF (DFAW) to FlexShares Ready Access Variable Income Fund (RAVI)
DFAW

Dimensional World Equity ETF

DFAW Description

The fund is a "fund of funds", which means that the Portfolio generally allocates its assets among other funds managed by the Advisor, although it has the flexibility to invest directly in securities and derivatives.

Grade (RS Rating)

Last Trade

$64.39

Average Daily Volume

36,967

Number of Holdings *

4

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

FlexShares Ready Access Variable Income Fund

RAVI Description The investment seeks maximum current income consistent with the preservation of capital and liquidity. The fund seeks to achieve the investment objective by investing at least 65% of its total assets in a non-diversified portfolio of fixed income instruments, including bonds, debt securities and other similar instruments issued by U.S. and non-U.S. public and private sector entities. The dollar-weighted average portfolio maturity of the fund is normally not expected to exceed two years. It may invest up to 20% of its total assets in fixed income securities and instruments of issuers in emerging markets. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$75.43

Average Daily Volume

74,707

Number of Holdings *

101

* may have additional holdings in another (foreign) market
Performance
Period DFAW RAVI
30 Days 1.13% 0.38%
60 Days 2.79% 0.67%
90 Days 3.18% 1.22%
12 Months 25.93% 5.43%
0 Overlapping Holdings
Symbol Grade Weight in DFAW Weight in RAVI Overlap
DFAW Overweight 4 Positions Relative to RAVI
Symbol Grade Weight
DFAC A 54.9%
DFIC D 17.25%
DFEM D 7.53%
DFGR C 2.01%
DFAW Underweight 101 Positions Relative to RAVI
Symbol Grade Weight
VLO C -1.51%
ED C -1.05%
OGS A -1.05%
OTIS C -0.95%
PYPL B -0.95%
KDP F -0.95%
DHR F -0.86%
LYB F -0.83%
DTE C -0.77%
GE D -0.76%
TSN B -0.7%
WM B -0.69%
CI D -0.67%
CM A -0.62%
GP F -0.59%
GILD C -0.59%
TFC A -0.59%
AIG B -0.57%
SJM D -0.57%
NEE C -0.57%
BAC A -0.57%
AZO C -0.52%
NVDA B -0.52%
BNS A -0.52%
D C -0.51%
BDX F -0.51%
TD D -0.51%
RY A -0.51%
SYK B -0.49%
CCI C -0.49%
AON A -0.46%
UNH B -0.43%
BMY B -0.43%
AMZN C -0.42%
SCHW B -0.42%
CRM B -0.4%
VFC C -0.39%
OGE A -0.39%
ETR B -0.38%
AEP C -0.38%
CVX A -0.33%
NDAQ A -0.31%
ARCC A -0.3%
T A -0.3%
HSBC A -0.29%
CFG B -0.29%
MLM C -0.28%
DELL B -0.28%
CMCSA B -0.28%
DB D -0.28%
CP F -0.27%
WFC A -0.26%
CAT B -0.26%
CLX A -0.26%
LEN D -0.26%
SO C -0.26%
ATHS D -0.26%
GS A -0.26%
AL B -0.25%
C A -0.24%
CMS C -0.24%
FIS C -0.23%
MCHP F -0.22%
FITB B -0.22%
PPL A -0.22%
FOXA A -0.21%
NYC D -0.21%
CNP A -0.2%
SBUX A -0.18%
LUV C -0.18%
MKC C -0.17%
AEE A -0.17%
BHF C -0.17%
CVS D -0.16%
KEY B -0.16%
SEB F -0.16%
UBS B -0.16%
PSX C -0.16%
AZN F -0.15%
NWG A -0.15%
BA F -0.15%
ICE C -0.15%
MUFG B -0.14%
MET A -0.13%
DHI F -0.13%
AMT C -0.13%
CNH C -0.13%
ABBV F -0.13%
HPE B -0.11%
EFX F -0.1%
GM C -0.1%
VZ C -0.1%
MDLZ F -0.09%
R B -0.08%
HRL D -0.07%
ROP B -0.07%
DUK C -0.07%
COF C -0.06%
MS A -0.06%
PCAR B -0.05%
JPM A -0.03%
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