ESGA vs. SPMO ETF Comparison

Comparison of American Century Sustainable Equity ETF (ESGA) to PowerShares S&P 500 Momentum Portfolio (SPMO)
ESGA

American Century Sustainable Equity ETF

ESGA Description

The investment seeks long-term capital growth. The fund will generally invest in large capitalization companies the advisor believes show sustainable business improvement using a proprietary multi-factor model that combines fundamental measures of a stock's value and growth potential with environmental, social, and governance (ESG) metrics. Under normal market conditions, it will invest at least 80% of its assets in sustainable equity securities. The fund is not permitted to invest in securities issued by companies assigned the Global Industry Classification Standard (GICS) or the Bloomberg Industry Classification Standard (BICS) for the tobacco industry.

Grade (RS Rating)

Last Trade

$71.87

Average Daily Volume

19,070

Number of Holdings *

98

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

PowerShares S&P 500 Momentum Portfolio

SPMO Description The investment seeks investment results that generally correspond (before fees and expenses) to the price and yield of the S&P 500 Momentum Index (the "underlying index"). The fund generally will invest at least 90% of its total assets in common stocks that comprise the underlying index. The underlying index is designed to track the performance of approximately 100 stocks in the S&P 500 Index that have the highest "momentum score." In general, momentum is the tendency of an investment to exhibit persistence in its relative performance. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$95.58

Average Daily Volume

717,934

Number of Holdings *

98

* may have additional holdings in another (foreign) market
Performance
Period ESGA SPMO
30 Days 2.15% 2.84%
60 Days 2.90% 5.10%
90 Days 3.81% 6.74%
12 Months 26.79% 54.82%
23 Overlapping Holdings
Symbol Grade Weight in ESGA Weight in SPMO Overlap
AMGN D 0.44% 1.04% 0.44%
AMZN C 3.32% 9.74% 3.32%
AVGO D 1.08% 5.46% 1.08%
AXP A 0.68% 1.39% 0.68%
CL D 0.29% 0.62% 0.29%
CMG B 0.41% 0.47% 0.41%
COST B 0.8% 3.79% 0.8%
DECK A 0.29% 0.17% 0.17%
ECL D 0.7% 0.33% 0.33%
ETN A 0.94% 0.96% 0.94%
IBM C 0.8% 1.27% 0.8%
ICE C 0.47% 0.65% 0.47%
JPM A 1.6% 5.38% 1.6%
LLY F 1.21% 5.19% 1.21%
META D 2.5% 6.24% 2.5%
MSI B 0.74% 0.67% 0.67%
NVDA C 6.6% 10.2% 6.6%
PGR A 0.75% 1.61% 0.75%
PH A 0.76% 0.52% 0.52%
PRU A 0.48% 0.33% 0.33%
TJX A 1.01% 0.99% 0.99%
URI B 0.31% 0.36% 0.31%
VRTX F 0.4% 0.77% 0.4%
ESGA Overweight 75 Positions Relative to SPMO
Symbol Grade Weight
MSFT F 7.98%
AAPL C 7.02%
GOOGL C 3.94%
UNH C 1.97%
NEE D 1.74%
HD A 1.66%
V A 1.49%
PLD D 1.43%
ABBV D 1.29%
AMD F 1.28%
DHR F 1.26%
MS A 1.26%
SPGI C 1.16%
PEP F 1.12%
LIN D 1.1%
COP C 1.08%
JCI C 1.04%
ADI D 1.01%
EOG A 1.01%
A D 0.97%
TSLA B 0.96%
VZ C 0.93%
SLB C 0.93%
BAC A 0.9%
CI F 0.89%
TMO F 0.86%
ZTS D 0.86%
MA C 0.84%
UNP C 0.83%
RF A 0.83%
PG A 0.83%
MRK F 0.82%
AMAT F 0.81%
CDNS B 0.81%
CMI A 0.8%
TGT F 0.8%
SYY B 0.79%
BLK C 0.78%
ACN C 0.77%
MDLZ F 0.73%
EQIX A 0.71%
ISRG A 0.67%
HON B 0.66%
AMP A 0.62%
MMC B 0.61%
UBER D 0.6%
XYL D 0.59%
TSCO D 0.59%
ASML F 0.55%
MET A 0.54%
WDAY B 0.54%
CDW F 0.54%
BALL D 0.5%
CRM B 0.49%
UPS C 0.46%
NVO D 0.46%
CSCO B 0.45%
APTV D 0.45%
LKQ D 0.42%
DE A 0.42%
FDX B 0.39%
LMT D 0.37%
DIS B 0.36%
CRWD B 0.34%
SQ B 0.3%
KMX B 0.29%
IDXX F 0.29%
NOW A 0.29%
YETI C 0.27%
ADBE C 0.24%
DXCM D 0.23%
BMY B 0.22%
ABNB C 0.18%
DT C 0.15%
SAIA B 0.15%
ESGA Underweight 75 Positions Relative to SPMO
Symbol Grade Weight
BRK.A B -6.07%
WMT A -2.39%
GE D -2.09%
GS A -1.47%
KKR A -1.23%
T A -1.15%
RTX C -1.01%
TMUS B -0.99%
BSX B -0.98%
ANET C -0.92%
C A -0.89%
TT A -0.85%
CB C -0.84%
MCK B -0.81%
FI A -0.78%
CTAS B -0.72%
REGN F -0.72%
APH A -0.65%
VST B -0.59%
CEG D -0.58%
WELL A -0.57%
FICO B -0.57%
TDG D -0.56%
GD F -0.55%
BK A -0.54%
KLAC D -0.53%
TRGP B -0.47%
ALL A -0.46%
WMB A -0.45%
AJG B -0.44%
WM A -0.44%
HWM A -0.44%
HLT A -0.43%
AFL B -0.38%
HIG B -0.38%
OKE A -0.38%
IRM D -0.37%
IR B -0.34%
RSG A -0.33%
AIG B -0.33%
GWW B -0.32%
KMI A -0.32%
GDDY A -0.31%
AXON A -0.3%
PSX C -0.3%
GRMN B -0.29%
RCL A -0.28%
MPC D -0.27%
PEG A -0.27%
COR B -0.26%
IT C -0.24%
NRG B -0.23%
FANG D -0.22%
WAB B -0.22%
LDOS C -0.21%
VLTO D -0.21%
BRO B -0.21%
NDAQ A -0.21%
FITB A -0.2%
WTW B -0.2%
NTAP C -0.19%
MLM B -0.19%
PHM D -0.18%
SYF B -0.17%
TYL B -0.16%
NVR D -0.15%
STX D -0.15%
BR A -0.15%
PKG A -0.14%
CBOE B -0.13%
WRB A -0.12%
L A -0.11%
UHS D -0.09%
NWSA B -0.07%
NWS B -0.02%
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