JFWD vs. CWS ETF Comparison

Comparison of Jacob Funds Inc. Jacob Forward ETF (JFWD) to AdvisorShares Focused Equity ETF (CWS)
JFWD

Jacob Funds Inc. Jacob Forward ETF

JFWD Description

The Jacob Forward ETF is an exchange-traded fund incorporated in the US. This fund seeks long-term growth of capital. The Fund seeks to achieve its investment objective by investing in common stocks and other equity securities of companies of all sizes. The Fund may have significant exposure to the information technology sector.

Grade (RS Rating)

Last Trade

$11.16

Average Daily Volume

644

Number of Holdings *

34

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

AdvisorShares Focused Equity ETF

CWS Description The AdvisorShares Focused Equity ETF seeks long-term capital appreciation. CWS aims to achieve its investment objective by investing primarily in a focused group of U.S. exchange-listed equity securities that the portfolio manager believes have favorable fundamental attributes.

Grade (RS Rating)

Last Trade

$69.18

Average Daily Volume

10,776

Number of Holdings *

25

* may have additional holdings in another (foreign) market
Performance
Period JFWD CWS
30 Days -0.06% -1.19%
60 Days 5.34% 1.20%
90 Days 6.29% 4.86%
12 Months 39.20% 28.66%
0 Overlapping Holdings
Symbol Grade Weight in JFWD Weight in CWS Overlap
JFWD Overweight 34 Positions Relative to CWS
Symbol Grade Weight
HROW D 7.97%
PRCH B 5.13%
Z A 5.02%
AIOT B 4.98%
CDNA D 4.82%
ATEC C 4.72%
ESPR C 4.67%
SQ A 4.64%
DKNG B 4.61%
DOCS C 4.54%
INSE B 4.5%
MDB C 3.92%
NET C 3.34%
BRZE C 3.25%
TELA C 3.1%
HRTX F 2.78%
CFLT C 2.65%
CDXS C 2.59%
OPRX F 2.53%
KRYS D 2.46%
SOFI A 2.22%
PHR F 2.08%
COIN A 2.01%
IMMR F 1.14%
FLUT A 1.05%
IDYA F 0.97%
BEAM D 0.96%
ATHM D 0.84%
CELC F 0.77%
HUYA F 0.74%
ARCT F 0.67%
CRSP D 0.64%
PI D 0.59%
APPS F 0.18%
JFWD Underweight 25 Positions Relative to CWS
Symbol Grade Weight
FICO A -6.25%
MLR B -5.9%
FI A -5.3%
APH B -4.98%
HEI A -4.75%
AFL C -4.47%
SYK A -4.15%
ICE D -4.11%
COR B -4.09%
MCO C -4.01%
SAIC D -3.99%
SLGN B -3.92%
OTIS D -3.78%
ROL A -3.77%
BR A -3.66%
AGM A -3.65%
INTU A -3.63%
ABT B -3.55%
TMO D -3.51%
AWK C -3.41%
MGRC B -3.39%
FDS A -3.38%
HSY F -3.16%
PII F -2.47%
CE F -1.94%
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