DURA vs. MDEV ETF Comparison

Comparison of VanEck Vectors Morningstar Durable Dividend ETF (DURA) to First Trust Indxx Medical Devices ETF (MDEV)
DURA

VanEck Vectors Morningstar Durable Dividend ETF

DURA Description

The investment seeks to replicate as closely as possible, before fees and expenses, the price and yield performance of the MorningstarĀ® US Dividend Valuation IndexSM (the "index"). The fund normally invests at least 80% of its total assets in securities that comprise the fund's benchmark index. The index is comprised of securities of companies with a high dividend yield, strong financial health and an attractive uncertainty-adjusted valuation. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$34.96

Average Daily Volume

4,932

Number of Holdings *

85

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

First Trust Indxx Medical Devices ETF

MDEV Description First Trust Exchange-Traded Fund VI - First Trust Indxx Medical Devices ETF is an exchange traded fund launched and managed by First Trust Advisors L.P. The fund invests in the public equity markets across the globe. It invests in the stocks of companies operating in the medical devices industry that includes companies that focus on developing equipment, instruments, and machines to diagnose, monitor, and treat diseases. The fund invests in growth and value stocks of companies across diversified market capitalizations. It replicates the performance of the Indxx Global Medical Equipment Index, by using full replication technique. First Trust Exchange-Traded Fund VI - First Trust Indxx Medical Devices ETF is domiciled in the United States.

Grade (RS Rating)

Last Trade

$21.10

Average Daily Volume

287

Number of Holdings *

29

* may have additional holdings in another (foreign) market
Performance
Period DURA MDEV
30 Days 0.92% -3.19%
60 Days 1.56% -3.14%
90 Days 3.32% 0.11%
12 Months 18.56% 14.34%
1 Overlapping Holdings
Symbol Grade Weight in DURA Weight in MDEV Overlap
MDT D 1.99% 2.02% 1.99%
DURA Overweight 84 Positions Relative to MDEV
Symbol Grade Weight
CVX A 5.55%
XOM B 5.41%
JNJ D 4.43%
MO A 4.24%
ABBV D 4.09%
PFE D 3.96%
MRK F 3.95%
PEP F 3.85%
CMCSA B 3.1%
UPS C 2.94%
MCD D 2.84%
AMGN D 2.5%
COP C 2.27%
BLK C 2.11%
QCOM F 2.02%
CME A 1.96%
RTX C 1.95%
BX A 1.9%
HON B 1.89%
DUK C 1.88%
KMI A 1.82%
OKE A 1.73%
ADP B 1.44%
EOG A 1.42%
PRU A 1.21%
MDLZ F 1.19%
APD A 1.11%
SRE A 1.06%
DOW F 1.02%
KMB D 0.93%
EMR A 0.93%
EXC C 0.89%
VLO C 0.86%
PAYX C 0.78%
XEL A 0.78%
GD F 0.76%
KHC F 0.75%
TROW B 0.74%
EIX B 0.73%
ETR B 0.71%
GIS D 0.7%
BKR B 0.68%
MTB A 0.67%
WEC A 0.65%
RF A 0.63%
LHX C 0.56%
ES D 0.53%
ADM D 0.51%
DTE C 0.49%
FE C 0.48%
PPL B 0.47%
AEE A 0.46%
YUM B 0.44%
HSY F 0.41%
DD D 0.39%
EVRG A 0.38%
CLX B 0.37%
PPG F 0.36%
CAG D 0.35%
TSN B 0.34%
EBAY D 0.32%
LNT A 0.31%
NI A 0.31%
EQT B 0.3%
SJM D 0.26%
EMN D 0.24%
SWKS F 0.22%
OGE B 0.22%
APA D 0.21%
DGX A 0.2%
DINO D 0.19%
WTRG B 0.19%
RPRX D 0.19%
IVZ B 0.18%
WU D 0.17%
JHG A 0.15%
POR C 0.12%
NJR A 0.11%
CE F 0.11%
HII D 0.09%
AGR B 0.08%
FHI A 0.07%
XRAY F 0.06%
THO B 0.06%
DURA Underweight 28 Positions Relative to MDEV
Symbol Grade Weight
GMED A -2.54%
PEN B -2.52%
MASI A -2.51%
PODD C -2.45%
ISRG A -2.4%
DXCM D -2.33%
SYK C -2.32%
ZBH C -2.26%
WST C -2.26%
BSX B -2.22%
EW C -2.19%
ALGN D -2.16%
RMD C -2.15%
ABT B -2.14%
WAT B -2.14%
HOLX D -2.1%
BIO D -2.06%
BDX F -2.01%
GEHC F -2.0%
STE F -2.0%
RVTY F -1.96%
A D -1.92%
BAX D -1.91%
TMO F -1.85%
DHR F -1.85%
MTD D -1.71%
TFX F -1.7%
EXAS D -1.59%
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