FIXT vs. CSMD ETF Comparison

Comparison of Procure Disaster Recovery Strategy ETF (FIXT) to Congress SMid Growth ETF (CSMD)
FIXT

Procure Disaster Recovery Strategy ETF

FIXT Description

The index consists of globally-listed stocks and depositary receipts. The fund will concentrate its investments (i.e., invest 25% or more of its assets) in securities issued by companies whose principal business activities are in the same industry or group of industries to the extent the index is so concentrated. It is non-diversified.

Grade (RS Rating)

Last Trade

$39.70

Average Daily Volume

1,171

Number of Holdings *

5

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

Congress SMid Growth ETF

CSMD Description The fund is an actively-managed exchange-traded fund ("ETF"). The fund seeks to achieve its investment objective by investing at least 80% of its net assets (plus any borrowings for investment purposes) in equity securities of small and mid-capitalization companies. The fund invests primarily in publicly traded stocks of U.S. companies which Congress Asset Management Company, LLP considers to have a small to mid-size market capitalization.

Grade (RS Rating)

Last Trade

$29.20

Average Daily Volume

31,615

Number of Holdings *

42

* may have additional holdings in another (foreign) market
Performance
Period FIXT CSMD
30 Days 5.83% -1.52%
60 Days 8.77% -1.48%
90 Days 9.91% 2.21%
12 Months 51.42% 27.71%
1 Overlapping Holdings
Symbol Grade Weight in FIXT Weight in CSMD Overlap
STRL B 2.61% 2.54% 2.54%
FIXT Overweight 4 Positions Relative to CSMD
Symbol Grade Weight
FND D 2.52%
GNRC A 2.51%
ALSN A 2.47%
SITE F 2.46%
FIXT Underweight 41 Positions Relative to CSMD
Symbol Grade Weight
FIX B -4.28%
CYBR C -3.69%
CW B -3.42%
SPSC F -3.39%
TSCO D -3.14%
VMI A -3.06%
PTC B -2.9%
BJ A -2.74%
MEDP F -2.62%
WSM F -2.57%
CDW F -2.42%
MORN B -2.42%
KBR B -2.4%
HALO B -2.39%
UFPT D -2.35%
PBH A -2.34%
ENTG D -2.33%
WHD B -2.33%
PODD A -2.29%
SUM A -2.27%
AZEK C -2.26%
NVT D -2.19%
ELF F -2.04%
BMI D -1.99%
WAL C -1.93%
STE D -1.93%
OLLI C -1.91%
POOL B -1.88%
AVY D -1.88%
RRC D -1.84%
LECO B -1.8%
KNSL F -1.75%
CVLT B -1.74%
TRNO F -1.72%
OPCH F -1.67%
CHH A -1.6%
WERN A -1.55%
SMPL C -1.49%
RGEN D -1.43%
CALX D -1.36%
PEN A -1.05%
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