FLV vs. TTAC ETF Comparison

Comparison of American Century Focused Large Cap Value ETF (FLV) to TrimTabs Float Shrink ETF (TTAC)
FLV

American Century Focused Large Cap Value ETF

FLV Description

The investment seeks long-term capital growth. Under normal market conditions, the portfolio managers will invest at least 80% of the fund's assets in securities of large capitalization companies. The portfolio managers may sell stocks from the fund's portfolio if they believe a stock no longer meets their valuation criteria, a stock's risk parameters outweigh its return opportunity, more attractive alternatives are identified or specific events alter a stock's prospects.

Grade (RS Rating)

Last Trade

$69.49

Average Daily Volume

4,098

Number of Holdings *

40

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

TrimTabs Float Shrink ETF

TTAC Description The Fund seeks to generate long-term returns in excess of the total return of the Russell 3000 Index, with less volatility than the Index.

Grade (RS Rating)

Last Trade

$64.50

Average Daily Volume

11,755

Number of Holdings *

141

* may have additional holdings in another (foreign) market
Performance
Period FLV TTAC
30 Days 2.86% 1.35%
60 Days 6.63% 4.35%
90 Days 9.45% 5.09%
12 Months 17.60% 22.28%
4 Overlapping Holdings
Symbol Grade Weight in FLV Weight in TTAC Overlap
CL C 1.53% 1.45% 1.45%
FFIV A 2.1% 0.34% 0.34%
JNJ B 7.58% 2.28% 2.28%
KMB D 2.27% 0.97% 0.97%
FLV Overweight 36 Positions Relative to TTAC
Symbol Grade Weight
MDT C 5.39%
DUK C 4.57%
ZBH F 4.29%
UPS D 3.68%
NSC C 3.63%
UL C 3.21%
JPM D 3.16%
KVUE B 2.97%
ADI D 2.79%
TFC D 2.77%
OKE B 2.77%
ATO B 2.74%
XOM D 2.47%
TTE C 2.41%
BK A 2.36%
HSIC C 2.26%
VZ B 2.2%
RGA B 2.2%
NVS C 2.05%
BRK.A C 2.03%
BDX F 1.93%
MDLZ B 1.84%
SCHW D 1.78%
GIS B 1.74%
TEL D 1.69%
ALL A 1.68%
RTX C 1.67%
BUD C 1.57%
DGX B 1.47%
CAG B 1.46%
CSCO B 1.38%
BLK A 1.34%
MMC C 1.29%
PKG B 1.26%
UNH C 1.05%
SON C 0.98%
FLV Underweight 137 Positions Relative to TTAC
Symbol Grade Weight
AAPL D -6.17%
ABBV C -2.92%
HD B -2.75%
PG C -2.11%
ACN C -1.86%
AXP B -1.81%
IBM B -1.68%
ADBE D -1.67%
QCOM D -1.56%
NOW A -1.55%
PM C -1.53%
GILD B -1.48%
META A -1.44%
BMY C -1.42%
INTU D -1.36%
BKNG B -1.36%
MMM B -1.29%
LOW B -1.23%
MRK D -1.23%
PANW D -1.19%
MSI C -1.17%
ADP B -1.04%
APP B -1.02%
AMGN B -1.0%
LMT C -0.95%
FTNT C -0.93%
MPC D -0.91%
HLT B -0.88%
ADSK B -0.82%
MCO A -0.81%
TT B -0.74%
V B -0.72%
NKE D -0.72%
CRWD F -0.71%
CVLT B -0.69%
IT B -0.68%
MO C -0.68%
SYF C -0.67%
KLAC D -0.67%
HRB C -0.66%
MAS B -0.65%
AGX C -0.63%
LRCX F -0.62%
FIS B -0.62%
EA D -0.62%
BR D -0.61%
RPM B -0.6%
NTAP D -0.6%
HALO B -0.6%
PAYX C -0.6%
VLO D -0.59%
A C -0.58%
BOX B -0.57%
COF C -0.57%
TROW D -0.57%
LVS D -0.57%
INGR A -0.56%
WSM C -0.56%
MEDP D -0.55%
KTB B -0.54%
MLI B -0.54%
DFS C -0.53%
DOCU C -0.53%
LDOS C -0.52%
APOG B -0.52%
EXPE C -0.52%
MANH B -0.52%
COLM B -0.52%
CDW D -0.51%
PSTG F -0.51%
DDOG D -0.5%
CPAY B -0.5%
SLVM B -0.48%
MTD D -0.48%
VRSN D -0.47%
WSO C -0.47%
ROL C -0.46%
APAM C -0.45%
WDAY D -0.44%
MCHP D -0.44%
EME B -0.44%
PWR B -0.44%
TEAM F -0.44%
RMD C -0.43%
CLX C -0.43%
BRBR B -0.42%
NTNX C -0.42%
EXPO B -0.41%
AMP B -0.41%
WHD C -0.4%
FDS C -0.4%
DCI D -0.38%
JKHY B -0.38%
SWKS F -0.38%
FAST C -0.37%
MORN C -0.36%
HOLX B -0.35%
MSA C -0.35%
ZM C -0.35%
ZS F -0.35%
NFLX B -0.34%
SEIC B -0.33%
CCK A -0.33%
TPR C -0.32%
DBX D -0.32%
MTCH C -0.32%
NBIX F -0.31%
UFPI C -0.29%
PLUS B -0.29%
CPNG B -0.29%
OC C -0.29%
ANF D -0.28%
CINF B -0.27%
POOL C -0.27%
HAS B -0.27%
PPC D -0.27%
ENPH C -0.27%
CDNS D -0.26%
PINS F -0.26%
CSWI B -0.25%
LECO F -0.25%
SMG C -0.24%
SQSP A -0.24%
ERIE A -0.24%
PEGA C -0.24%
MAT C -0.23%
EEFT D -0.22%
FTI D -0.22%
CNM F -0.21%
CRUS D -0.2%
AFG B -0.16%
WFRD F -0.15%
CHX D -0.12%
NYT C -0.11%
QLYS F -0.1%
DINO D -0.1%
OMF C -0.09%
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