HYDR vs. TDVI ETF Comparison

Comparison of Global X Hydrogen ETF (HYDR) to FT CBOE Vest Technology Dividend Target Income ETF (TDVI)
HYDR

Global X Hydrogen ETF

HYDR Description

The Global X Hydrogen ETF seeks to invest in companies that stand to benefit from the advancement of the global hydrogen industry. This includes companies involved in hydrogen production; the integration of hydrogen into energy systems; and the development/manufacturing of hydrogen fuel cells, electrolyzers, and other technologies related to the utilization of hydrogen as an energy source.

Grade (RS Rating)

Last Trade

$23.23

Average Daily Volume

22,024

Number of Holdings *

6

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

FT CBOE Vest Technology Dividend Target Income ETF

TDVI Description Under normal market conditions, the fund will invest at least 80% of its net assets (plus any borrowings for investment purposes) in dividend-paying securities and/or investments that provide exposure to dividend-paying securities of technology companies. The equity securities held by the fund will be selected by the portfolio managers from the common stocks and depositary receipts in the index. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$24.46

Average Daily Volume

21,419

Number of Holdings *

79

* may have additional holdings in another (foreign) market
Performance
Period HYDR TDVI
30 Days 3.18% -2.46%
60 Days -1.73% -1.22%
90 Days -3.75% 2.39%
12 Months -26.98% 28.28%
0 Overlapping Holdings
Symbol Grade Weight in HYDR Weight in TDVI Overlap
HYDR Overweight 6 Positions Relative to TDVI
Symbol Grade Weight
BE A 19.1%
PLUG F 10.5%
CMI A 3.69%
APD A 3.45%
TM F 2.23%
HY D 0.34%
HYDR Underweight 79 Positions Relative to TDVI
Symbol Grade Weight
ORCL A -9.35%
AVGO D -8.17%
IBM C -8.07%
MSFT D -7.99%
TXN C -7.31%
TSM C -4.01%
QCOM F -3.65%
ADI D -2.7%
TMUS B -2.34%
CSCO B -2.24%
T A -2.18%
CMCSA B -2.14%
MSI A -1.94%
VZ C -1.91%
INTU B -1.89%
GLW B -1.82%
AMAT F -1.79%
HPQ B -1.79%
LRCX F -1.6%
NXPI F -1.53%
MCHP F -1.27%
HPE B -1.23%
CTSH B -1.03%
KLAC F -1.01%
ASML F -1.0%
DELL C -0.99%
STX D -0.97%
APH B -0.95%
UI A -0.7%
NTAP C -0.68%
GEN B -0.59%
CCOI B -0.57%
SWKS F -0.56%
ROP C -0.54%
CDW F -0.44%
OTEX F -0.41%
INFY C -0.4%
SSNC C -0.39%
LDOS C -0.36%
DOX D -0.35%
LOGI F -0.26%
NOK D -0.26%
SAP A -0.26%
KT A -0.23%
MPWR F -0.23%
ERIC B -0.22%
CABO B -0.21%
ATHM C -0.21%
SNX C -0.21%
IRDM F -0.2%
PAYC B -0.2%
AVT C -0.18%
XRX F -0.16%
DNB A -0.15%
IDCC B -0.14%
VIV D -0.13%
DLB B -0.12%
SAIC F -0.12%
TEF C -0.11%
KBR F -0.11%
AMKR F -0.1%
OLED F -0.1%
KLIC C -0.08%
CSGS B -0.07%
VSH F -0.07%
POWI D -0.07%
CNXC F -0.07%
SIMO D -0.07%
PRGS B -0.06%
SSTK F -0.06%
BHE B -0.05%
YOU D -0.05%
ATEN A -0.04%
SPNS F -0.04%
STM F -0.03%
TKC B -0.02%
CNXN D -0.02%
HCKT B -0.02%
SLP F -0.01%
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