DYLG vs. IYH ETF Comparison

Comparison of Global X Dow 30 Covered Call & Growth ETF (DYLG) to iShares U.S. Healthcare ETF (IYH)
DYLG

Global X Dow 30 Covered Call & Growth ETF

DYLG Description

The fund invests at least 80% of its total assets in the securities of the index. The index measures the performance of a partially covered call strategy that holds a theoretical portfolio of the underlying stocks of the Dow Jones Industrial AverageĀ® (the Reference index), and writes (or sells) a succession of one-month at-the-money covered call options on the Reference index. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$28.90

Average Daily Volume

158

Number of Holdings *

10

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

iShares U.S. Healthcare ETF

IYH Description The investment seeks to track the investment results of an index composed of U.S. equities in the healthcare 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. Health Care Index (the "underlying index"), which measures the performance of the healthcare sector of the U.S. equity market. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$64.62

Average Daily Volume

247,394

Number of Holdings *

106

* may have additional holdings in another (foreign) market
Performance
Period DYLG IYH
30 Days 1.41% -2.30%
60 Days 6.16% 2.39%
90 Days 6.50% 7.57%
12 Months 20.82% 21.23%
2 Overlapping Holdings
Symbol Grade Weight in DYLG Weight in IYH Overlap
AMGN D 5.33% 3.06% 3.06%
UNH B 9.42% 8.95% 8.95%
DYLG Overweight 8 Positions Relative to IYH
Symbol Grade Weight
GS D 8.15%
MSFT C 6.66%
HD A 5.88%
CAT A 5.69%
MCD A 4.61%
V C 4.41%
AXP A 4.13%
CRM C 4.04%
DYLG Underweight 104 Positions Relative to IYH
Symbol Grade Weight
LLY D -12.49%
JNJ C -6.71%
ABBV A -5.8%
MRK F -5.03%
TMO C -3.97%
ABT C -3.33%
DHR B -2.98%
ISRG C -2.91%
PFE D -2.82%
SYK C -2.24%
ELV F -2.13%
BSX A -2.09%
VRTX D -2.04%
REGN D -2.03%
MDT A -1.94%
GILD A -1.77%
BMY B -1.7%
CI C -1.68%
ZTS B -1.49%
HCA A -1.29%
BDX B -1.14%
IQV F -0.74%
IDXX D -0.71%
A B -0.69%
EW F -0.68%
CNC F -0.67%
GEHC B -0.67%
HUM F -0.63%
RMD C -0.6%
ALNY B -0.59%
VEEV C -0.54%
BIIB F -0.49%
DXCM F -0.48%
CAH B -0.46%
STE D -0.4%
WST D -0.38%
ZBH F -0.37%
MRNA F -0.36%
COO C -0.36%
MOH D -0.35%
ILMN C -0.35%
WAT B -0.34%
BAX D -0.33%
LH D -0.32%
ALGN D -0.32%
AVTR D -0.31%
HOLX D -0.31%
DGX C -0.29%
PODD C -0.28%
THC C -0.27%
RVTY C -0.26%
UTHR B -0.26%
NTRA B -0.24%
BMRN F -0.23%
VTRS D -0.23%
UHS D -0.23%
EXAS C -0.22%
TECH B -0.21%
NBIX F -0.2%
TFX B -0.19%
SRPT F -0.19%
INCY B -0.18%
CRL F -0.18%
RPRX B -0.18%
CTLT B -0.18%
EHC B -0.16%
MEDP F -0.16%
SOLV D -0.16%
CHE B -0.15%
HSIC C -0.15%
ITCI D -0.14%
DVA B -0.14%
VKTX D -0.13%
EXEL C -0.13%
GMED D -0.13%
RGEN F -0.13%
JAZZ F -0.12%
ELAN D -0.12%
ACHC F -0.12%
PEN D -0.12%
BRKR D -0.12%
INSP C -0.11%
BIO B -0.11%
IONS F -0.11%
OGN D -0.09%
ROIV D -0.09%
MASI C -0.09%
RARE C -0.09%
XRAY D -0.09%
DOCS B -0.08%
APLS F -0.06%
PRGO F -0.06%
AZTA F -0.05%
AMED D -0.05%
NVST D -0.05%
PINC F -0.04%
RCM B -0.04%
TXG F -0.04%
ENOV F -0.04%
QDEL D -0.04%
SHC C -0.04%
FTRE F -0.03%
CERT F -0.02%
GRAL F -0.01%
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