FFTY vs. GLOV ETF Comparison

Comparison of Innovator IBD 50 Fund ETF (FFTY) to Goldman Sachs ActiveBeta World Low Vol Plus Equity ETF (GLOV)
FFTY

Innovator IBD 50 Fund ETF

FFTY Description

The investment seeks long-term capital appreciation. Under normal circumstances, the fund will invest at least 80% of its net assets (plus borrowings for investment purposes) in companies included in the IBD® 50 Index. It is actively managed. Under normal circumstances, the fund will invest in a portfolio of U.S.-listed, exchange-traded equities. FFTY picks 50 leading growth companies that trade on US exchanges, potentially including ADRs. After screening out securities with extreme recent price movements, the universe is ranked by a composite of 11 different fundamental and technical metrics. The top 50 stocks are weighted in tiers, with more weight given to higher-ranking companies. Components of the index are reviewed on a weekly basis. Based on market-wide technical signals, FFTY may substitute half of its equity portfolio with Treasury bills. The index will remain half equity, half T-bills until a reversal signal occurs. Its worth noting that the funds high-turnover strategy could lead to poor tracking and/or taxable capital gains payouts.

Grade (RS Rating)

Last Trade

$27.11

Average Daily Volume

114,043

Number of Holdings *

50

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

Goldman Sachs ActiveBeta World Low Vol Plus Equity ETF

GLOV Description Goldman Sachs ActiveBeta World Low Vol Plus Equity ETF is an exchange traded fund launched and managed by Goldman Sachs Asset Management, L.P. It invests in public equity markets of the global developed region. It invests in stocks of companies operating across diversified sectors. It invests in value, momentum and less volatile stocks of companies across diversified market capitalization. It seeks to track the performance of the Goldman Sachs ActiveBeta World Low Vol Plus Equity Index, by using full replication technique. Goldman Sachs ETF Trust - Goldman Sachs ActiveBeta World Low Vol Plus Equity ETF is domiciled in the United States.

Grade (RS Rating)

Last Trade

$50.34

Average Daily Volume

37,689

Number of Holdings *

205

* may have additional holdings in another (foreign) market
Performance
Period FFTY GLOV
30 Days 8.88% 1.50%
60 Days 12.63% 9.30%
90 Days -3.69% 7.26%
12 Months 24.13% 29.47%
7 Overlapping Holdings
Symbol Grade Weight in FFTY Weight in GLOV Overlap
AVGO C 0.52% 0.46% 0.46%
AXP B 0.5% 0.06% 0.06%
C C 0.51% 0.34% 0.34%
CTAS C 0.5% 0.51% 0.5%
GOOGL B 3.02% 0.77% 0.77%
NVDA B 3.7% 1.62% 1.62%
SNPS F 0.49% 0.19% 0.19%
FFTY Overweight 43 Positions Relative to GLOV
Symbol Grade Weight
ARM C 3.85%
CAMT F 3.71%
MMYT D 3.63%
ANET A 3.54%
CLS B 3.49%
NSSC F 3.46%
CRWD D 3.46%
TMDX D 3.43%
HIMS C 3.37%
RCL C 3.09%
ALNY C 3.05%
BWIN B 3.0%
NFLX B 2.99%
ELF F 2.99%
NVO F 2.91%
STEP A 2.87%
WING C 2.78%
CMRE B 2.71%
TGTX D 2.15%
PLTR A 2.09%
PSTG F 2.07%
VITL B 2.06%
HUT C 2.02%
MNDY B 1.98%
FN B 1.96%
NTRA B 1.95%
BROS F 1.95%
FRPT C 1.93%
MIRM D 1.07%
TWST D 1.05%
UTHR C 1.01%
APPF C 0.99%
KKR C 0.98%
IBKR A 0.97%
AX D 0.97%
SRPT F 0.96%
TOST B 0.95%
NOW C 0.93%
ONTO C 0.52%
HEI C 0.5%
RYAN A 0.49%
KSPI F 0.49%
ASND C 0.49%
FFTY Underweight 198 Positions Relative to GLOV
Symbol Grade Weight
AAPL C -3.34%
MSFT D -2.78%
WMT A -1.33%
AMZN C -1.22%
BRK.A C -1.21%
IBM A -1.04%
ORLY A -0.99%
MSI A -0.95%
CL D -0.89%
META A -0.83%
GWW B -0.77%
HD A -0.77%
AZO D -0.76%
MA A -0.76%
GOOG B -0.72%
TJX D -0.72%
LOW A -0.71%
UNH B -0.69%
MMC D -0.67%
JNJ D -0.67%
LLY D -0.66%
COST C -0.66%
V C -0.64%
CSCO A -0.64%
PEP F -0.63%
FAST C -0.62%
ACN B -0.62%
JPM D -0.61%
HPE B -0.6%
DELL C -0.6%
T A -0.59%
VZ B -0.59%
ABBV B -0.57%
APH D -0.57%
PG D -0.57%
YUM B -0.56%
MCO D -0.56%
AFL A -0.55%
MRK F -0.54%
GILD A -0.53%
MAS A -0.53%
MCK F -0.51%
MCD A -0.5%
RSG C -0.49%
WM B -0.48%
CTSH B -0.48%
ADBE F -0.47%
CAH B -0.46%
KR C -0.46%
ITW B -0.45%
VRSN B -0.44%
CVS C -0.44%
KEYS C -0.43%
CI D -0.43%
NVS D -0.43%
IT B -0.43%
NTAP D -0.42%
CDW D -0.42%
L D -0.4%
GPC D -0.37%
REGN D -0.37%
GD C -0.36%
CHKP C -0.35%
ROP C -0.35%
INCY B -0.34%
BMY B -0.33%
CMCSA C -0.32%
ACGL B -0.31%
TSCO B -0.3%
KO C -0.3%
ROL C -0.3%
CDNS D -0.29%
PGR C -0.29%
HIG B -0.29%
AJG D -0.29%
CAG D -0.29%
HPQ B -0.28%
EG B -0.28%
SYY D -0.28%
GE C -0.28%
FOXA A -0.28%
DOX B -0.28%
SHW C -0.26%
MKL C -0.26%
ORCL C -0.26%
BAC D -0.26%
PCAR C -0.26%
AKAM D -0.25%
LDOS A -0.25%
SSNC C -0.25%
BSX A -0.24%
LYB F -0.23%
CPAY A -0.23%
KMB D -0.23%
TMUS A -0.23%
MDLZ D -0.23%
CHD D -0.23%
XOM A -0.22%
CBOE B -0.22%
WRB C -0.22%
QCOM C -0.22%
ADSK C -0.21%
CB B -0.2%
ALL C -0.2%
HSY F -0.2%
BK C -0.19%
ETN C -0.19%
DGX C -0.19%
AMGN D -0.18%
BR B -0.18%
VRTX D -0.17%
TXT F -0.17%
EA D -0.17%
LIN B -0.17%
RTX A -0.17%
TEL D -0.16%
CRM B -0.16%
AME D -0.16%
CVX B -0.16%
ZTS C -0.16%
PKG B -0.15%
FOX A -0.15%
ICE A -0.15%
FTV C -0.15%
OTIS A -0.14%
TRV C -0.14%
WCN D -0.13%
KHC F -0.13%
ELV F -0.13%
EXPD D -0.13%
WAB B -0.13%
VRSK C -0.13%
PAYX A -0.13%
FNF B -0.12%
AMP A -0.12%
LMT A -0.12%
HOLX D -0.12%
SNA A -0.12%
TDG B -0.12%
RPRX D -0.12%
HLT B -0.12%
KMI A -0.12%
TD B -0.12%
WMB A -0.12%
BDX C -0.11%
GRMN D -0.1%
AIG F -0.1%
INTU F -0.1%
TXN C -0.1%
PM D -0.1%
SO A -0.1%
BIIB F -0.1%
SYK C -0.1%
HCA C -0.09%
MO D -0.09%
CMI A -0.09%
GIS C -0.09%
DOW B -0.09%
STT C -0.08%
GLW C -0.08%
E B -0.08%
CINF B -0.08%
LHX A -0.08%
CME A -0.08%
AON B -0.08%
ROST D -0.07%
PRU C -0.07%
OMC C -0.07%
WFC F -0.07%
CLX C -0.07%
FI A -0.07%
DRI C -0.06%
AGCO D -0.06%
DOV B -0.06%
RJF B -0.05%
LNG A -0.05%
DUK B -0.05%
NDAQ B -0.05%
ECL B -0.05%
PEG A -0.05%
IRM A -0.05%
PFG C -0.05%
CSX D -0.04%
CPRT C -0.04%
O A -0.04%
MAR B -0.04%
ABT C -0.04%
OKE A -0.04%
PPG D -0.03%
ZBH F -0.03%
TSN D -0.03%
ADP A -0.03%
COP D -0.02%
KDP C -0.02%
WTW C -0.02%
MET B -0.02%
NOC B -0.01%
TMO D -0.01%
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