FPAG vs. GINX ETF Comparison

Comparison of FPA Global Equity ETF (FPAG) to SGI Enhanced Global Income ETF (GINX)
FPAG

FPA Global Equity ETF

FPAG Description

Although the adviser has adopted a policy to invest at least 80% of its assets in equity securities, the adviser expects to invest, under normal circumstances, at least 95% of the fund?s assets in equity securities. The fund invests primarily in publicly traded common stocks of mid- and large-cap U.S. and non-U.S. companies, including companies in emerging market countries. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$30.98

Average Daily Volume

28,204

Number of Holdings *

25

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

SGI Enhanced Global Income ETF

GINX Description The fund is an actively-managed exchange-traded fund ("ETF") and seeks to achieve its objective by (1) actively investing in global companies that offer dividend income and that trade on U.S. stock exchanges and (2) investing in options strategies that seek to generate current income. The fund uses an actively traded put and call options strategy that choose deep out-of-the-money strike prices generally expiring within 1-7 days to generate income.

Grade (RS Rating)

Last Trade

$26.59

Average Daily Volume

7,089

Number of Holdings *

93

* may have additional holdings in another (foreign) market
Performance
Period FPAG GINX
30 Days 0.62% -0.93%
60 Days 2.00% -0.98%
90 Days 1.84% -1.34%
12 Months 23.66%
4 Overlapping Holdings
Symbol Grade Weight in FPAG Weight in GINX Overlap
BABA D 0.29% 0.46% 0.29%
C A 4.88% 4.18% 4.18%
GOOG C 4.17% 3.25% 3.25%
META D 5.35% 3.44% 3.44%
FPAG Overweight 21 Positions Relative to GINX
Symbol Grade Weight
GOOGL C 6.38%
ADI D 5.13%
CMCSA B 4.78%
TEL B 4.58%
IFF D 3.84%
WFC A 3.66%
AMZN C 3.39%
AON A 2.69%
AVGO D 2.26%
NXPI D 2.21%
KMX B 1.85%
CHTR C 1.75%
KMI A 1.72%
MAR A 1.69%
FE C 1.49%
HWM A 1.29%
ICLR D 1.26%
WAB B 1.23%
UBER F 1.16%
NFLX A 0.66%
PCG A 0.21%
FPAG Underweight 89 Positions Relative to GINX
Symbol Grade Weight
TAK D -3.79%
INFY C -3.7%
CL D -3.68%
NGG D -3.63%
UMC F -3.15%
LLY F -3.04%
WCC B -3.01%
QCOM F -2.48%
NTES C -2.15%
MRK D -2.11%
UPS C -2.04%
WIT B -1.85%
LPX B -1.62%
NVO F -1.51%
CBRE B -1.37%
NICE D -1.36%
KOF F -1.32%
CSX C -1.3%
CWEN C -1.1%
LRCX F -1.09%
BRK.A B -0.99%
UNP C -0.95%
KO D -0.93%
MBI B -0.92%
ABBV F -0.88%
PGR A -0.78%
IBN C -0.76%
BBVA D -0.75%
BK A -0.66%
WF C -0.62%
MCK A -0.6%
CFG B -0.59%
AXP A -0.57%
TPR B -0.57%
BAC A -0.56%
ALL A -0.56%
AEP C -0.56%
TSN B -0.55%
EOG A -0.55%
JPM A -0.55%
UFPI C -0.54%
FDX B -0.54%
CIG B -0.54%
MKL A -0.54%
BPOP C -0.54%
EVRG A -0.53%
TJX A -0.53%
EQH C -0.53%
PRU A -0.52%
SWX B -0.52%
IX F -0.52%
INGR C -0.52%
BBWI C -0.52%
CIB B -0.51%
APH A -0.51%
PSX C -0.51%
JXN C -0.51%
PBR D -0.51%
MA B -0.51%
NFG A -0.5%
UHS D -0.5%
VIPS F -0.5%
COST A -0.5%
TGT F -0.5%
DE B -0.49%
OXY D -0.49%
SAN D -0.49%
DD C -0.49%
ASR D -0.49%
LMT D -0.48%
RPRX D -0.48%
HCA F -0.48%
DUK C -0.48%
SAP B -0.48%
LOGI D -0.48%
RDY F -0.47%
UL D -0.47%
ELV F -0.47%
RIO D -0.47%
TSM B -0.46%
SHG C -0.46%
AMAT F -0.45%
ZTO F -0.44%
JD D -0.44%
SNN D -0.44%
HMC F -0.43%
TLK D -0.43%
REGN F -0.4%
MPWR F -0.31%
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