IMFL vs. TTAC ETF Comparison

Comparison of Invesco International Developed Dynamic Multifactor ETF (IMFL) to TrimTabs Float Shrink ETF (TTAC)
IMFL

Invesco International Developed Dynamic Multifactor ETF

IMFL Description

The investment seeks to track the investment results (before fees and expenses) of the FTSE Developed ex US Invesco Dynamic Multifactor Index. The fund generally will invest at least 80% of its total assets in the securities that comprise the index. The index is designed to utilize factor configurations that, in the view of the index Provider, have historically outperformed other factors in certain stages of the economic cycle. It is non-diversified.

Grade (RS Rating)

Last Trade

$24.97

Average Daily Volume

40,031

Number of Holdings *

15

* 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

$64.86

Average Daily Volume

22,118

Number of Holdings *

143

* may have additional holdings in another (foreign) market
Performance
Period IMFL TTAC
30 Days -0.22% 5.14%
60 Days 4.96% 7.74%
90 Days -0.04% 6.65%
12 Months 12.00% 26.61%
1 Overlapping Holdings
Symbol Grade Weight in IMFL Weight in TTAC Overlap
ABBV C 2.73% 2.9% 2.73%
IMFL Overweight 14 Positions Relative to TTAC
Symbol Grade Weight
NVS D 4.18%
UL D 2.17%
WCN D 0.53%
SONY C 0.16%
SHG D 0.12%
TM D 0.1%
LOGI D 0.1%
KB C 0.08%
CNI D 0.07%
SW C 0.04%
KEP F 0.03%
XRX D 0.03%
SMFG C 0.03%
MUFG C 0.03%
IMFL Underweight 142 Positions Relative to TTAC
Symbol Grade Weight
AAPL D -6.15%
HD A -2.9%
JNJ D -2.19%
PG D -2.06%
AXP A -1.84%
ACN B -1.83%
IBM A -1.68%
META B -1.56%
ADBE F -1.54%
QCOM D -1.51%
NOW B -1.5%
BMY B -1.5%
GILD A -1.47%
PM D -1.44%
BKNG B -1.4%
CL D -1.38%
MMM C -1.3%
LOW B -1.29%
INTU F -1.23%
MRK F -1.2%
MSI A -1.17%
APP A -1.16%
PANW B -1.11%
ADP A -1.03%
LMT A -0.99%
KMB D -0.95%
AMGN D -0.94%
FTNT B -0.93%
MPC C -0.91%
HLT A -0.91%
ADSK C -0.82%
NKE D -0.8%
MCO D -0.78%
TT A -0.77%
CRWD C -0.74%
LVS B -0.73%
V C -0.69%
CVLT B -0.69%
SYF A -0.68%
AGX B -0.68%
MAS B -0.67%
KLAC B -0.66%
HRB C -0.65%
IT B -0.65%
MO D -0.64%
LRCX D -0.63%
BR B -0.61%
A C -0.61%
PAYX B -0.61%
EA D -0.6%
FIS A -0.6%
NTAP B -0.6%
COF A -0.59%
VLO D -0.59%
KTB C -0.58%
WSM C -0.58%
RPM A -0.58%
DOCU B -0.57%
TROW D -0.57%
EXPE B -0.55%
MLI C -0.55%
INGR B -0.55%
HALO D -0.54%
DFS A -0.54%
LDOS A -0.54%
APOG B -0.54%
COLM D -0.53%
BOX C -0.53%
MANH B -0.53%
SLVM C -0.51%
MTD C -0.51%
CPAY A -0.51%
MEDP F -0.51%
DDOG B -0.51%
PSTG F -0.5%
CDW D -0.49%
PWR A -0.48%
WSO C -0.48%
VRSN D -0.47%
EME A -0.47%
APAM C -0.46%
ROL D -0.45%
BRBR A -0.44%
WHD A -0.43%
TEAM C -0.43%
AMP A -0.43%
MCHP F -0.43%
EXPO B -0.42%
CLX C -0.42%
WDAY D -0.41%
NTNX B -0.4%
FDS C -0.4%
RMD D -0.4%
JKHY B -0.38%
DCI C -0.38%
FAST C -0.37%
MORN C -0.36%
GEN A -0.36%
FFIV B -0.35%
SWKS F -0.35%
ZM C -0.35%
MSA F -0.34%
SEIC B -0.34%
HOLX D -0.34%
MTCH B -0.34%
ZS F -0.34%
CCK C -0.34%
NFLX C -0.33%
TPR C -0.33%
DBX B -0.32%
PPC B -0.32%
PLUS B -0.3%
UFPI C -0.3%
OC B -0.3%
SMG C -0.29%
PINS D -0.29%
CPNG A -0.29%
POOL D -0.28%
HAS A -0.28%
NBIX F -0.28%
ENPH F -0.27%
ANF D -0.26%
CINF C -0.26%
CSWI A -0.26%
LECO C -0.26%
FTI B -0.25%
CDNS D -0.25%
ERIE C -0.25%
PEGA C -0.25%
MAT B -0.23%
SQSP A -0.23%
CNM F -0.22%
EEFT F -0.21%
COR F -0.19%
CRUS D -0.18%
AFG B -0.16%
WFRD F -0.14%
CHX B -0.13%
NYT C -0.12%
QLYS F -0.1%
DINO D -0.1%
OMF C -0.09%
Compare ETFs