EVX vs. IPDP ETF Comparison

Comparison of Market Vectors Environment Index ETF Fund (EVX) to Dividend Performers ETF (IPDP)
EVX

Market Vectors Environment Index ETF Fund

EVX Description

The investment seeks to replicate as closely as possible, before fees and expenses, the price and yield performance of the NYSE Arca Environmental Services Index (the "Environmental Services Index"). The fund normally invests at least 80% of its total assets in common stocks and American depositary receipts ("ADRs") of companies involved in the environmental services industry. It is non-diversified.

Grade (RS Rating)

Last Trade

$183.36

Average Daily Volume

1,316

Number of Holdings *

20

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

Dividend Performers ETF

IPDP Description The investment seeks to provide income; the secondary objective is capital appreciation. The fund’s investment strategy is twofold: (1) investing in dividend paying U.S. equity securities, and (2) credit spread options on an S&P 500 ETF or Index. It may also invest in equity real estate investment trusts (“REITs”). A credit spread is an options strategy that involves the purchase of one option and a sale of another option in the same class and with the same expiration but different strike prices.

Grade (RS Rating)

Last Trade

$20.32

Average Daily Volume

1,329

Number of Holdings *

50

* may have additional holdings in another (foreign) market
Performance
Period EVX IPDP
30 Days -0.87% 0.84%
60 Days 2.07% 4.65%
90 Days 4.62% 8.24%
12 Months 28.33% 31.53%
3 Overlapping Holdings
Symbol Grade Weight in EVX Weight in IPDP Overlap
ABM B 4.24% 2.24% 2.24%
DCI B 4.08% 2.09% 2.09%
ECL D 9.7% 2.16% 2.16%
EVX Overweight 17 Positions Relative to IPDP
Symbol Grade Weight
WM B 10.71%
RSG B 10.18%
WCN A 9.9%
PCT C 5.4%
DAR B 4.32%
CLH C 4.07%
TTEK F 3.89%
CWST A 3.79%
TNC F 3.67%
VLTO D 3.63%
STE D 3.38%
MEG F 3.02%
PESI C 2.65%
ANET C 2.59%
ERII D 2.38%
RDUS C 2.29%
CECO C 1.78%
EVX Underweight 47 Positions Relative to IPDP
Symbol Grade Weight
CAH A -2.37%
ACN C -2.36%
AIT A -2.34%
SYK A -2.33%
AMP A -2.32%
CSCO B -2.32%
TT A -2.31%
SNA A -2.31%
HNI B -2.3%
GWW B -2.29%
ADP B -2.29%
COR B -2.28%
SEIC A -2.28%
HIG A -2.27%
TRV A -2.27%
CTAS B -2.27%
BRO B -2.27%
MCK A -2.26%
APOG B -2.26%
BRC C -2.25%
AAPL C -2.25%
UNH B -2.23%
ABT A -2.23%
ETN B -2.22%
RGA A -2.2%
DOV B -2.2%
APH B -2.17%
MMC C -2.16%
IEX B -2.14%
TROW A -2.04%
JNJ D -2.02%
WTS A -1.99%
UPS C -1.88%
LECO C -1.87%
A F -1.78%
AOS F -1.74%
MSI A -1.72%
KLAC F -1.68%
GPC D -1.67%
QCOM F -1.6%
MRK F -1.52%
NSP F -1.52%
ELV F -1.51%
AVGO C -0.25%
HD A -0.24%
HPQ A -0.23%
CSX B -0.22%
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