JDVI vs. NSI ETF Comparison

Comparison of John Hancock Disciplined Value International Select ETF (JDVI) to National Security Emerging Markets Index ETF (NSI)
JDVI

John Hancock Disciplined Value International Select ETF

JDVI Description

Under normal market conditions, the fund invests at least 80% of its net assets (plus any borrowings for investment purposes) in a portfolio of equity and equity-related securities issued by non-U.S. large and mid-capitalization companies that meet the fund"s value criteria. The fund generally invests in the equity securities of issuers the manager believes are undervalued. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$26.25

Average Daily Volume

444

Number of Holdings *

6

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

National Security Emerging Markets Index ETF

NSI Description The fund invests at least 80% of its total assets in component securities of the index. The index consists of stocks listed on globally recognized stock exchanges that excludes companies benefiting end-users that, in the view of the sponsor of the fund, National Security Index, LLC (the "Sponsor") pose a threat to the national security interests of the United States.

Grade (RS Rating)

Last Trade

$26.54

Average Daily Volume

802

Number of Holdings *

88

* may have additional holdings in another (foreign) market
Performance
Period JDVI NSI
30 Days -6.00% -5.37%
60 Days -6.97% -0.64%
90 Days -3.99% -2.79%
12 Months
1 Overlapping Holdings
Symbol Grade Weight in JDVI Weight in NSI Overlap
KB C 2.63% 1.19% 1.19%
JDVI Overweight 5 Positions Relative to NSI
Symbol Grade Weight
NVS D 4.16%
SONY D 3.27%
EG D 2.78%
SMFG A 2.65%
HMC F 0.94%
JDVI Underweight 87 Positions Relative to NSI
Symbol Grade Weight
TSM B -11.91%
PDD F -4.43%
HDB C -3.56%
IBN C -2.23%
CHT D -2.07%
ASX F -2.02%
UMC F -1.85%
MELI D -1.78%
PKX F -1.38%
NTES C -1.37%
INFY D -1.24%
SHG D -1.22%
PBR D -1.19%
KT C -1.13%
NU C -1.09%
WF D -1.08%
TCOM B -1.07%
VALE F -0.98%
RDY D -0.89%
FMX F -0.88%
LPL F -0.85%
SKM D -0.75%
ABEV D -0.72%
KEP B -0.71%
ZTO D -0.68%
ITUB D -0.67%
BEKE C -0.66%
SSL F -0.65%
PHI F -0.62%
TKC C -0.62%
LI F -0.58%
CPNG C -0.57%
BGNE D -0.56%
VIPS F -0.55%
HTHT C -0.53%
YMM C -0.5%
KOF F -0.5%
XPEV C -0.5%
SQM D -0.47%
PAC A -0.47%
WIT B -0.44%
ASR F -0.44%
QFIN B -0.43%
BCH D -0.4%
ENIC D -0.39%
BILI C -0.38%
TLK F -0.37%
YUMC B -0.36%
XP F -0.36%
OMAB F -0.35%
CIB C -0.35%
GFI F -0.35%
NIO F -0.33%
TAL D -0.31%
BBD D -0.31%
HCM F -0.28%
CX F -0.26%
BZ F -0.25%
BSAC D -0.24%
BAP A -0.24%
IQ F -0.23%
TGLS A -0.23%
FN C -0.23%
GGB B -0.23%
ATHM D -0.22%
HMY F -0.22%
VIST C -0.21%
SBSW D -0.21%
SUZ B -0.18%
STNE F -0.18%
ASAI F -0.18%
EBR F -0.17%
ERJ A -0.17%
MMYT C -0.16%
EC D -0.16%
PAGS F -0.15%
VIV D -0.14%
CRDO C -0.13%
BVN F -0.13%
CIG C -0.12%
BRFS D -0.11%
SBS C -0.11%
ELP F -0.1%
CSAN F -0.1%
UGP F -0.1%
BAK F -0.09%
BSBR F -0.09%
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