IMCV vs. TTAC ETF Comparison

Comparison of iShares Morningstar Mid-Cap Value ETF (IMCV) to TrimTabs Float Shrink ETF (TTAC)
IMCV

iShares Morningstar Mid-Cap Value ETF

IMCV Description

The investment seeks to track the investment results of the Morningstar® US Mid Cap Broad Value IndexSM composed of mid-capitalization U.S. equities that exhibit value characteristics. The fund generally invests at least 90% of its assets in securities of the underlying index and in depositary receipts representing securities of the underlying index. The underlying index measures the performance of stocks issued by mid-capitalization companies that have exhibited “value” characteristics as determined by Morningstar, Inc. (Morningstar or the index providerâ) proprietary index methodology.

Grade (RS Rating)

Last Trade

$76.68

Average Daily Volume

20,014

Number of Holdings *

303

* 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

$64.67

Average Daily Volume

11,669

Number of Holdings *

141

* may have additional holdings in another (foreign) market
Performance
Period IMCV TTAC
30 Days 4.21% 3.02%
60 Days 5.29% 5.77%
90 Days 8.97% 6.26%
12 Months 24.05% 24.58%
30 Overlapping Holdings
Symbol Grade Weight in IMCV Weight in TTAC Overlap
AFG B 0.12% 0.16% 0.12%
AMP A 0.27% 0.41% 0.27%
CCK A 0.13% 0.33% 0.13%
CINF B 0.24% 0.27% 0.24%
CLX C 0.14% 0.43% 0.14%
COF B 0.99% 0.57% 0.57%
CPAY B 0.1% 0.5% 0.1%
CPNG B 0.19% 0.29% 0.19%
DFS B 0.27% 0.53% 0.27%
DINO F 0.14% 0.1% 0.1%
EA D 0.19% 0.62% 0.19%
EXPE C 0.16% 0.52% 0.16%
FFIV B 0.13% 0.34% 0.13%
FIS B 0.88% 0.62% 0.62%
HOLX B 0.35% 0.35% 0.35%
KMB D 0.58% 0.97% 0.58%
LDOS B 0.23% 0.52% 0.23%
MAS B 0.19% 0.65% 0.19%
MCHP F 0.44% 0.44% 0.44%
NTAP D 0.22% 0.6% 0.22%
OC D 0.27% 0.29% 0.27%
PINS F 0.14% 0.26% 0.14%
POOL C 0.13% 0.27% 0.13%
RPM B 0.1% 0.6% 0.1%
SWKS D 0.31% 0.38% 0.31%
SYF C 0.36% 0.67% 0.36%
TROW D 0.43% 0.57% 0.43%
VLO F 0.82% 0.59% 0.59%
WSM D 0.12% 0.56% 0.12%
ZM C 0.3% 0.35% 0.3%
IMCV Overweight 273 Positions Relative to TTAC
Symbol Grade Weight
DHI B 1.11%
AFL C 1.05%
NSC C 1.04%
TFC C 1.04%
AEP C 1.02%
WMB B 1.02%
OKE B 1.0%
GM C 0.99%
SRE C 0.98%
BK B 0.96%
CCI C 0.96%
SPG B 0.94%
PCAR D 0.92%
AIG D 0.91%
LEN B 0.83%
LHX C 0.81%
PRU C 0.79%
F F 0.79%
KMI B 0.78%
GIS B 0.78%
PEG B 0.78%
KVUE C 0.76%
EXC C 0.75%
CNC D 0.75%
FERG D 0.73%
HUM F 0.72%
CTSH C 0.72%
KR C 0.71%
O C 0.68%
ED C 0.67%
VICI C 0.66%
XEL B 0.66%
HIG B 0.64%
NUE F 0.64%
CHTR D 0.63%
EIX C 0.61%
HPQ D 0.61%
GLW C 0.61%
KHC C 0.59%
TRV C 0.58%
ADM D 0.56%
GEV B 0.56%
FANG D 0.56%
WEC C 0.56%
PSA B 0.55%
FITB B 0.54%
ALL B 0.54%
MTB B 0.53%
NVR B 0.53%
BIIB F 0.53%
ACGL C 0.53%
LNG C 0.53%
D C 0.51%
CAH C 0.51%
IFF B 0.5%
CARR B 0.5%
ETR B 0.5%
NEM B 0.5%
DTE C 0.49%
KDP B 0.49%
URI B 0.48%
DVN F 0.47%
STT A 0.47%
PCG C 0.46%
PPL C 0.45%
LYB D 0.45%
EXR B 0.45%
WY C 0.44%
ES C 0.44%
HPE D 0.42%
AEE C 0.42%
SW B 0.42%
FE C 0.42%
CTVA B 0.41%
K B 0.4%
STX C 0.39%
ATO B 0.39%
HBAN B 0.39%
TEL D 0.39%
WDC D 0.39%
BAX C 0.38%
DOW D 0.38%
RF B 0.38%
EBAY B 0.38%
JCI B 0.38%
OMC B 0.37%
ON D 0.37%
PFG B 0.36%
COR D 0.36%
TRGP B 0.36%
BBY C 0.36%
DG F 0.35%
GEHC C 0.35%
LH C 0.35%
PKG B 0.35%
WBD D 0.35%
STZ D 0.35%
DD B 0.34%
PPG D 0.34%
NTRS A 0.34%
CFG C 0.34%
CNP C 0.33%
AVB B 0.32%
GPN D 0.32%
EXPD C 0.32%
BKR C 0.32%
IRM C 0.32%
NDAQ A 0.32%
VTR C 0.32%
DGX B 0.32%
DELL D 0.32%
CCL C 0.32%
UAL C 0.31%
STLD F 0.31%
EG C 0.31%
IP B 0.31%
PHM B 0.31%
AMCR B 0.3%
THC A 0.3%
FNF B 0.3%
DOC C 0.3%
RS D 0.3%
EQR B 0.3%
DAL C 0.3%
SSNC B 0.3%
CAG C 0.29%
IQV C 0.29%
MRO C 0.28%
OTIS C 0.28%
LNT B 0.28%
KEY B 0.28%
WTW C 0.28%
NI B 0.28%
KEYS C 0.27%
CF C 0.27%
AWK B 0.27%
L C 0.27%
WPC C 0.26%
BG D 0.26%
CBRE A 0.26%
EVRG B 0.26%
DLR B 0.26%
VTRS D 0.26%
RGA C 0.26%
AES C 0.25%
CMI C 0.25%
HSY C 0.25%
RNR C 0.25%
GLPI C 0.25%
CMS C 0.25%
ARE C 0.25%
BXP B 0.24%
SJM C 0.24%
UTHR C 0.24%
MRNA F 0.24%
MAA B 0.23%
HST C 0.23%
RCL B 0.23%
EMN B 0.23%
EQH C 0.23%
JNPR B 0.23%
IPG C 0.22%
BLDR C 0.22%
NRG C 0.21%
GPC D 0.21%
RPRX C 0.21%
HAL F 0.21%
VST C 0.2%
TER D 0.2%
VLTO C 0.2%
ESS B 0.2%
ZBH F 0.2%
LKQ F 0.2%
NWSA D 0.19%
CTRA D 0.19%
CPB C 0.19%
OVV F 0.19%
CNH D 0.18%
LUV C 0.18%
TAP D 0.18%
SOLV C 0.18%
DRI B 0.18%
SNA C 0.18%
UNM B 0.18%
MKC C 0.18%
TOL B 0.18%
BALL C 0.17%
APA F 0.17%
RJF C 0.17%
ALLY F 0.17%
MOH D 0.17%
TDY B 0.17%
FOXA B 0.17%
GRMN D 0.17%
ULTA D 0.17%
MOS F 0.16%
MSTR D 0.16%
APTV D 0.16%
RVTY B 0.16%
AVY C 0.16%
CG D 0.16%
TXT D 0.16%
TSN C 0.16%
TSCO C 0.16%
AR F 0.15%
DLTR F 0.15%
DKNG C 0.15%
FLEX C 0.15%
AKAM D 0.15%
SWK B 0.15%
GEN B 0.14%
CPT B 0.14%
ACI F 0.14%
AVTR B 0.14%
MKL C 0.14%
WRB C 0.14%
UHS B 0.14%
REG C 0.14%
DOV B 0.14%
FTV C 0.14%
CHK D 0.14%
USFD B 0.13%
DKS D 0.13%
WAT C 0.13%
TFX C 0.13%
COO B 0.12%
HRL C 0.12%
ALGN D 0.12%
ENTG F 0.12%
WBA F 0.12%
WTRG D 0.12%
EQT D 0.12%
SNX D 0.11%
BEN F 0.11%
KMX D 0.11%
SIRI C 0.11%
CE F 0.11%
J C 0.11%
ALLE B 0.1%
ACM B 0.1%
BLD D 0.1%
ELS C 0.1%
SCI B 0.1%
UDR C 0.1%
EPAM F 0.1%
JBHT D 0.1%
JBL D 0.1%
BJ D 0.1%
TRMB C 0.09%
INCY C 0.09%
ALB D 0.09%
BAH C 0.09%
MGM F 0.09%
FOX B 0.09%
HII D 0.08%
PNR B 0.08%
ZBRA B 0.08%
XPO D 0.08%
DVA B 0.08%
QRVO F 0.08%
CASY D 0.08%
RRX C 0.08%
KIM C 0.08%
CRL F 0.07%
UHAL A 0.07%
PAG D 0.06%
AGR B 0.05%
AOS D 0.05%
WLK D 0.05%
NWS D 0.05%
LEN B 0.03%
COTY F 0.02%
UHAL A 0.01%
IMCV Underweight 111 Positions Relative to TTAC
Symbol Grade Weight
AAPL C -6.17%
ABBV C -2.92%
HD B -2.75%
JNJ C -2.28%
PG C -2.11%
ACN C -1.86%
AXP B -1.81%
IBM B -1.68%
ADBE F -1.67%
QCOM D -1.56%
NOW B -1.55%
PM C -1.53%
GILD B -1.48%
CL D -1.45%
META B -1.44%
BMY C -1.42%
INTU C -1.36%
BKNG C -1.36%
MMM B -1.29%
LOW B -1.23%
MRK D -1.23%
PANW D -1.19%
MSI B -1.17%
ADP B -1.04%
APP C -1.02%
AMGN B -1.0%
LMT C -0.95%
FTNT C -0.93%
MPC F -0.91%
HLT B -0.88%
ADSK C -0.82%
MCO B -0.81%
TT B -0.74%
V C -0.72%
NKE D -0.72%
CRWD D -0.71%
CVLT B -0.69%
IT B -0.68%
MO C -0.68%
KLAC D -0.67%
HRB C -0.66%
AGX B -0.63%
LRCX F -0.62%
BR D -0.61%
HALO C -0.6%
PAYX C -0.6%
A C -0.58%
BOX C -0.57%
LVS D -0.57%
INGR B -0.56%
MEDP F -0.55%
KTB B -0.54%
MLI A -0.54%
DOCU C -0.53%
APOG B -0.52%
MANH B -0.52%
COLM C -0.52%
CDW D -0.51%
PSTG F -0.51%
DDOG D -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%
EME B -0.44%
PWR B -0.44%
TEAM D -0.44%
RMD C -0.43%
BRBR C -0.42%
NTNX C -0.42%
EXPO A -0.41%
WHD C -0.4%
FDS C -0.4%
DCI C -0.38%
JKHY B -0.38%
FAST C -0.37%
MORN C -0.36%
MSA D -0.35%
ZS F -0.35%
NFLX B -0.34%
SEIC C -0.33%
TPR C -0.32%
DBX D -0.32%
MTCH C -0.32%
NBIX F -0.31%
UFPI C -0.29%
PLUS A -0.29%
ANF D -0.28%
HAS B -0.27%
PPC D -0.27%
ENPH D -0.27%
CDNS D -0.26%
CSWI B -0.25%
LECO F -0.25%
SMG C -0.24%
SQSP A -0.24%
ERIE B -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%
WFRD F -0.15%
CHX F -0.12%
NYT C -0.11%
QLYS F -0.1%
OMF D -0.09%
Compare ETFs