HSMV vs. AGNG ETF Comparison

Comparison of First Trust Horizon Managed Volatility Small/Mid ETF (HSMV) to Global X Aging Population ETF (AGNG)
HSMV

First Trust Horizon Managed Volatility Small/Mid ETF

HSMV Description

The investment seeks to provide investors with capital appreciation. Under normal market conditions, the fund seeks to achieve its investment objective by investing at least 80% of its net assets (including investment borrowings) in small- and/or mid-capitalization common stocks listed and traded on U.S. national securities exchanges that Sub-Advisor believes exhibit low future expected volatility. It is non-diversified.

Grade (RS Rating)

Last Trade

$36.45

Average Daily Volume

1,106

Number of Holdings *

146

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

Global X Aging Population ETF

AGNG Description The investment seeks results that correspond generally to the price and yield performance, before fees and expenses, of the Indxx Global Longevity Thematic Index. The fund invests more than 80% of its total assets in the securities of the underlying index. The underlying index is designed to provide exposure to exchange-listed companies in developed markets that facilitate the demographic trend of longer average life spans and the aging of the global population, including but not limited to companies involved in biotechnology, medical devices, pharmaceuticals, senior living facilities and specialized health care services.

Grade (RS Rating)

Last Trade

$32.80

Average Daily Volume

8,188

Number of Holdings *

48

* may have additional holdings in another (foreign) market
Performance
Period HSMV AGNG
30 Days 0.47% -1.12%
60 Days 4.26% 5.23%
90 Days 9.88% 9.32%
12 Months 26.01% 27.92%
4 Overlapping Holdings
Symbol Grade Weight in HSMV Weight in AGNG Overlap
ENSG D 0.77% 0.68% 0.68%
EXEL C 0.3% 0.65% 0.3%
OHI C 1.13% 0.81% 0.81%
SBRA C 0.57% 0.36% 0.36%
HSMV Overweight 142 Positions Relative to AGNG
Symbol Grade Weight
ATR A 2.04%
ORI A 1.7%
POST B 1.7%
INGR A 1.67%
SEIC B 1.65%
DTM A 1.62%
CTRE B 1.6%
OGE A 1.53%
CACI A 1.48%
IDA B 1.46%
MSGS B 1.37%
ADC B 1.33%
DCI B 1.33%
AMH D 1.31%
CHE B 1.29%
RLI A 1.28%
FLO C 1.26%
NJR C 1.22%
AM A 1.2%
NWE A 1.18%
NNN A 1.16%
NFG A 1.15%
FHI C 1.14%
POR B 1.11%
AFG B 1.08%
GNTX F 1.06%
MMS A 1.06%
GGG B 1.04%
GLPI B 1.04%
NYT B 1.02%
MDU C 0.97%
DLB D 0.93%
EHC B 0.91%
FCPT C 0.9%
EPR C 0.89%
BKH B 0.89%
MSA D 0.87%
KBR D 0.85%
ELS D 0.83%
EFC D 0.83%
LSTR D 0.78%
ESNT C 0.78%
AVA B 0.77%
PECO C 0.72%
PRI A 0.71%
AWR B 0.71%
CBSH D 0.71%
OGS A 0.71%
RNR A 0.7%
EGP D 0.7%
EPRT C 0.68%
PBH D 0.68%
LOPE D 0.67%
SLGN A 0.66%
CPK B 0.65%
RGA C 0.65%
RPM C 0.63%
CW A 0.63%
NMIH C 0.61%
AMG C 0.61%
AGO D 0.6%
SF A 0.6%
FCN B 0.59%
IDCC A 0.59%
PRGS B 0.59%
SCI C 0.58%
JHG C 0.58%
FELE B 0.57%
MTG B 0.57%
ACM B 0.56%
COLM B 0.56%
BCPC C 0.54%
CWT D 0.54%
ARW C 0.54%
RS D 0.52%
AVT B 0.52%
FNF A 0.52%
EPC F 0.52%
CHH C 0.52%
GATX D 0.51%
FR C 0.48%
FLS B 0.47%
LANC F 0.47%
MSM D 0.47%
LAMR C 0.46%
MUSA D 0.46%
BRX B 0.46%
RYN C 0.45%
CHDN D 0.44%
PFGC B 0.43%
ASH F 0.42%
BWXT A 0.42%
BLKB C 0.42%
FAF B 0.41%
SAIC B 0.41%
RDN D 0.41%
PB D 0.4%
JEF B 0.39%
CLH C 0.39%
ENR B 0.39%
CNO C 0.39%
MAN D 0.38%
ITT B 0.38%
LXP D 0.38%
GPK B 0.38%
RGLD C 0.35%
ABM D 0.35%
IOSP F 0.35%
BJ D 0.35%
CSL A 0.34%
AGCO D 0.33%
FNB D 0.33%
JJSF A 0.33%
COOP C 0.33%
LECO F 0.33%
MTN D 0.31%
G A 0.31%
JAZZ F 0.31%
KEX C 0.3%
EVR C 0.3%
MIDD D 0.29%
CRI D 0.28%
HRB C 0.28%
ALV F 0.28%
ONB D 0.28%
KFY C 0.28%
CUBE C 0.27%
LFUS C 0.27%
EVTC D 0.27%
R C 0.27%
LII C 0.26%
ORA B 0.26%
OSK F 0.26%
AIN D 0.26%
FSS B 0.25%
HXL F 0.24%
PLXS B 0.24%
REXR D 0.24%
CASY D 0.24%
IRT C 0.23%
PCH C 0.21%
NSA C 0.15%
HSMV Underweight 44 Positions Relative to AGNG
Symbol Grade Weight
WELL B -3.79%
BSX A -3.27%
LLY D -3.24%
AMGN D -3.2%
ABBV A -3.1%
REGN D -3.06%
AZN D -3.05%
MDT A -2.95%
JNJ C -2.94%
SYK C -2.82%
BMY B -2.76%
VTR B -2.1%
EW F -1.95%
ZBH F -1.81%
BGNE B -1.66%
UTHR B -1.37%
PODD C -1.35%
DXCM F -1.31%
INCY B -1.19%
DVA B -1.16%
EXAS C -1.0%
TFX B -0.94%
NBIX F -0.94%
HALO D -0.59%
GKOS C -0.51%
MMSI C -0.46%
BPMC F -0.44%
AGIO D -0.42%
DNLI C -0.41%
MNKD C -0.39%
NHC D -0.38%
NHI C -0.38%
EMBC D -0.36%
ITGR C -0.35%
LTC C -0.31%
NVCR F -0.3%
AMED D -0.28%
LIVN D -0.26%
BKD D -0.26%
TBPH F -0.24%
ACAD F -0.24%
ALEC F -0.21%
AGL F -0.19%
ATEC F -0.11%
Compare ETFs