EMFQ vs. DGRS ETF Comparison

Comparison of Amplify Emerging Markets FinTech ETF (EMFQ) to WisdomTree U.S. SmallCap Dividend Growth Fund (DGRS)
EMFQ

Amplify Emerging Markets FinTech ETF

EMFQ Description

Amplify ETF Trust - Amplify Emerging Markets FinTech ETF is an exchange traded fund launched and managed by Amplify Investments LLC. It is co-managed by Penserra Capital Management, LLC. The fund invests in public equity markets of global emerging markets region. The fund invests in stocks of companies operating across financials, diversified financials, capital markets, investment banking and brokerage, securities and commodities markets services, security brokers and dealers, online security brokers and dealers, online trading systems, consumer finance, personal credit agencies, consumer digital lending, diversified financial services, specialized finance, credit agencies, business credit agencies, commercial digital lending, insurance, information technology, software and services, it services, data processing and outsourced services, internet merchant services, payment processors, payment service providers and gateways, payment wallets, online bill payment services, internet services and infrastructure, internet based banking related services sectors. It invests in growth and value stocks of companies across diversified market capitalization. The fund seeks to track the performance of the EQM Emerging Markets Fintech Index, by using full replication technique. Amplify ETF Trust - Amplify Emerging Markets FinTech ETF was formed on January 29, 2019 and is domiciled in the United States.

Grade (RS Rating)

Last Trade

$21.49

Average Daily Volume

1,474

Number of Holdings *

18

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

WisdomTree U.S. SmallCap Dividend Growth Fund

DGRS Description The investment seeks to track the price and yield performance, before fees and expenses, of the WisdomTree U.S. SmallCap Dividend Growth Index. The index is a fundamentally weighted index that consists of the small-capitalization segment of dividend-paying U.S. common stocks with growth characteristics. Under normal circumstances, at least 80% of the fund's total assets (exclusive of collateral held from securities lending) will be invested in component securities of the index and investments that have economic characteristics that are substantially identical to the economic characteristics of such component securities. It is non-diversified.

Grade (RS Rating)

Last Trade

$51.26

Average Daily Volume

27,807

Number of Holdings *

229

* may have additional holdings in another (foreign) market
Performance
Period EMFQ DGRS
30 Days 8.80% 3.59%
60 Days 1.61% 8.00%
90 Days 2.13% 11.00%
12 Months -0.92% 30.74%
1 Overlapping Holdings
Symbol Grade Weight in EMFQ Weight in DGRS Overlap
EVTC D 2.49% 0.22% 0.22%
EMFQ Overweight 17 Positions Relative to DGRS
Symbol Grade Weight
MELI D 4.16%
NU D 3.73%
SE B 3.46%
SPNS B 3.26%
JMIA D 3.01%
FUTU A 2.66%
GRAB C 2.6%
PAGS F 2.59%
XP F 2.54%
QFIN A 2.5%
STNE F 2.35%
TIGR A 2.1%
BABA A 2.0%
FINV A 1.95%
BEKE A 1.9%
LX C 1.8%
DLO D 1.76%
EMFQ Underweight 228 Positions Relative to DGRS
Symbol Grade Weight
CNS C -2.29%
KTB C -2.19%
VIRT B -1.94%
VCTR A -1.82%
SLM B -1.75%
STEP A -1.55%
VAC D -1.45%
CRI D -1.38%
WD C -1.38%
IBOC D -1.26%
SEM D -1.25%
TGNA B -1.23%
HRI B -1.22%
SXT C -1.21%
CNO B -1.13%
ENR B -1.12%
PDCO F -1.08%
PATK A -1.06%
SLVM C -1.04%
SHOO A -1.03%
SPB C -1.01%
BKE B -1.0%
BANC D -0.99%
MGEE C -0.99%
PIPR A -0.97%
RRR D -0.95%
CAKE A -0.94%
KMT C -0.91%
MATX C -0.86%
MWA A -0.83%
AWR B -0.82%
CPK C -0.8%
BLMN F -0.78%
STRA F -0.78%
VRTS D -0.74%
BRC C -0.74%
JJSF C -0.73%
GES F -0.73%
BCO C -0.72%
MLKN F -0.68%
KFY C -0.68%
MGRC D -0.64%
WDFC B -0.63%
TEX F -0.62%
LBRT D -0.61%
GEF B -0.61%
CSWI A -0.61%
GFF C -0.59%
CABO F -0.58%
BRKL D -0.57%
BHE C -0.56%
BTU B -0.56%
ENS B -0.55%
WHD A -0.55%
HI F -0.55%
HEES D -0.54%
DLX F -0.54%
OXM F -0.53%
ETD C -0.53%
KLIC D -0.52%
CCS C -0.52%
BDC A -0.51%
NNI B -0.51%
SCS D -0.51%
UWMC D -0.51%
IOSP F -0.49%
GVA A -0.49%
LZB D -0.48%
PSMT A -0.48%
PRGS A -0.48%
WTTR B -0.47%
NMRK C -0.45%
AEIS B -0.44%
CXT F -0.44%
SAH D -0.43%
PJT A -0.43%
EPC F -0.42%
CSGS B -0.42%
AGX A -0.42%
WERN D -0.42%
WGO D -0.42%
JBSS F -0.41%
SSTK F -0.41%
KAI C -0.41%
JOE D -0.41%
SCL D -0.4%
AIN F -0.4%
NPO C -0.39%
APOG B -0.39%
EGY D -0.39%
BGC B -0.39%
MCRI B -0.38%
RES C -0.38%
KWR F -0.38%
AMRK C -0.36%
HWKN B -0.34%
EBF B -0.34%
CWH C -0.34%
ESE C -0.34%
PLOW D -0.34%
ACCO C -0.34%
REPX C -0.33%
KFRC F -0.33%
CALM A -0.33%
HCC C -0.33%
JBT B -0.33%
PRIM A -0.32%
ICFI C -0.32%
USPH F -0.32%
GIC D -0.32%
TNC F -0.3%
ANDE D -0.3%
USLM C -0.29%
ARCB F -0.29%
SMP D -0.29%
SCVL D -0.29%
GRC B -0.28%
ALX D -0.28%
LMAT A -0.27%
BRY F -0.26%
CRAI B -0.26%
ARCH D -0.26%
MTX C -0.26%
ASIX A -0.26%
SWBI F -0.26%
REVG D -0.25%
RMR B -0.25%
ATEN B -0.25%
NVEC D -0.25%
EPAC A -0.24%
CNMD F -0.24%
AROW D -0.24%
KRT F -0.24%
MTRN F -0.24%
SXI B -0.24%
ALG F -0.23%
GTN D -0.23%
DHIL C -0.22%
MRTN F -0.22%
CNXN C -0.21%
CASS F -0.21%
RYI D -0.21%
ULH B -0.21%
LNN C -0.2%
HSII D -0.2%
LOB B -0.2%
HPK D -0.2%
MOV F -0.19%
AAN B -0.19%
RM D -0.19%
MGPI F -0.19%
MYE F -0.19%
NSSC F -0.19%
CASH C -0.18%
HLIO B -0.18%
HCKT D -0.18%
HAYN B -0.18%
METC D -0.18%
ARKO C -0.17%
SHBI D -0.17%
SD D -0.16%
RGP F -0.16%
RGR F -0.15%
CAL F -0.15%
VSEC D -0.14%
NGVC D -0.14%
MEI D -0.13%
BBSI B -0.13%
CSV D -0.12%
MOFG D -0.12%
IMKTA F -0.12%
MPX D -0.12%
DBI F -0.12%
PFIS D -0.12%
TILE C -0.11%
CZFS C -0.11%
CMCO D -0.11%
TRS D -0.11%
OFLX D -0.11%
NX F -0.11%
EPM B -0.11%
ARTNA F -0.11%
OPY D -0.1%
SHYF D -0.1%
HTLD F -0.1%
WEYS C -0.1%
JOUT F -0.1%
TPB C -0.1%
CLB D -0.09%
BELFB A -0.09%
HBB B -0.09%
FRBA D -0.08%
LYTS B -0.08%
MVBF F -0.08%
SAMG B -0.08%
BSVN D -0.08%
SHEN F -0.08%
NRC F -0.08%
KOP F -0.08%
PKBK C -0.07%
RNGR C -0.07%
SLP F -0.07%
PLPC D -0.07%
ESQ C -0.07%
RCKY C -0.06%
ARC A -0.06%
PLBC D -0.06%
IIIN F -0.06%
CBNK C -0.06%
NBN B -0.06%
UNTY D -0.06%
III F -0.05%
TRAK D -0.05%
BSET C -0.05%
ESCA D -0.05%
TSQ F -0.05%
ZEUS F -0.05%
HQI D -0.04%
INBK D -0.04%
PHX B -0.04%
UTMD F -0.04%
RICK F -0.04%
GWRS D -0.04%
SGA F -0.03%
RELL B -0.03%
VOC D -0.03%
LAKE F -0.02%
ACU D -0.02%
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