LOWV vs. SPDG ETF Comparison

Comparison of AB US Low Volatility Equity ETF (LOWV) to SPDR Portfolio S&P Sector Neutral Dividend ETF (SPDG)
LOWV

AB US Low Volatility Equity ETF

LOWV Description

The fund is an actively-managed exchange-traded fund ("ETF"). The adviser seeks to achieve the fund"s investment objective by investing, under normal circumstances, at least 80% of its net assets in the equity securities of U.S. companies. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$70.76

Average Daily Volume

7,445

Number of Holdings *

73

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

SPDR Portfolio S&P Sector Neutral Dividend ETF

SPDG Description SPDR Series Trust - SPDR Portfolio S&P Sector Neutral Dividend ETF is an exchange traded fund launched by State Street Global Advisors, Inc. The fund is managed by SSGA Funds Management, Inc. The fund invests in public equity markets of the United States. The fund invests in stocks of companies operating across diversified sectors. It invests in growth and value stocks of companies across diversified market capitalization. The fund invests in dividend paying stocks of companies. It seeks to track the performance of the S&P Sector-Neutral High Yield Dividend Aristocrats Index, by using representative sampling technique. SPDR Series Trust - SPDR Portfolio S&P Sector Neutral Dividend ETF is domiciled in the United States.

Grade (RS Rating)

Last Trade

$37.84

Average Daily Volume

1,496

Number of Holdings *

270

* may have additional holdings in another (foreign) market
Performance
Period LOWV SPDG
30 Days 0.10% -2.34%
60 Days 1.40% 1.34%
90 Days 2.82% 4.84%
12 Months 23.86% 27.95%
23 Overlapping Holdings
Symbol Grade Weight in LOWV Weight in SPDG Overlap
ABBV F 2.06% 1.29% 1.29%
ADI D 0.61% 1.3% 0.61%
ADP B 1.75% 0.51% 0.51%
AEP C 1.25% 0.26% 0.26%
AVGO C 3.42% 9.79% 3.42%
CI D 0.99% 0.43% 0.43%
DLB F 0.65% 0.06% 0.06%
ETN B 0.67% 0.6% 0.6%
GILD C 1.31% 0.46% 0.46%
KO D 1.34% 1.28% 1.28%
LDOS C 0.68% 0.11% 0.11%
LHX B 1.19% 0.2% 0.2%
LMT D 0.67% 0.54% 0.54%
MDT D 0.84% 0.46% 0.46%
MRK F 1.72% 1.1% 1.1%
MTB A 0.6% 0.34% 0.34%
NTAP C 0.74% 0.3% 0.3%
ORCL A 2.33% 3.51% 2.33%
PAYX B 0.47% 0.19% 0.19%
PM A 1.76% 0.86% 0.86%
UNH C 2.13% 2.43% 2.13%
VZ C 0.45% 7.13% 0.45%
XOM B 0.65% 1.82% 0.65%
LOWV Overweight 50 Positions Relative to SPDG
Symbol Grade Weight
MSFT D 8.11%
GOOG B 4.98%
AAPL C 3.8%
FI A 2.43%
NVDA A 2.31%
AMZN B 1.94%
V A 1.9%
MCK A 1.71%
INTU B 1.71%
META C 1.69%
JPM A 1.52%
AZO C 1.46%
ADBE D 1.45%
MMC D 1.32%
CMCSA B 1.26%
DOX D 1.23%
NOW B 1.19%
MA B 1.18%
BAC A 1.18%
LULU C 1.1%
G B 1.08%
CBOE C 1.05%
PG C 1.05%
SHW C 1.03%
EG D 1.01%
LLY F 0.98%
ACM B 0.96%
BKNG A 0.94%
NYT D 0.92%
VRTX D 0.89%
YUM D 0.88%
RELX D 0.84%
GEN B 0.83%
EA A 0.83%
WMT A 0.81%
PGR B 0.79%
WTW B 0.78%
AEE A 0.75%
PSA C 0.7%
AMAT F 0.64%
MSCI B 0.63%
RGA B 0.58%
CL D 0.51%
AFG A 0.5%
TSM B 0.48%
ORLY B 0.47%
SPGI D 0.4%
FR C 0.39%
TMO F 0.31%
NICE D 0.31%
LOWV Underweight 247 Positions Relative to SPDG
Symbol Grade Weight
HD A -4.02%
CSCO B -2.67%
ACN C -2.6%
IBM C -2.33%
TXN C -2.3%
QCOM F -2.18%
MCD D -2.16%
GS B -1.86%
LOW C -1.54%
MS A -1.52%
JNJ D -1.5%
C B -1.38%
SBUX A -1.12%
PEP F -1.09%
CVX A -0.89%
PNC B -0.87%
CAT C -0.82%
ABT A -0.81%
USB B -0.79%
AMGN D -0.68%
UNP D -0.67%
HON B -0.65%
TFC A -0.65%
PFE F -0.62%
BK B -0.57%
O C -0.55%
APD A -0.55%
CCI C -0.52%
MET A -0.5%
BMY A -0.48%
PRU B -0.46%
SO C -0.46%
MO A -0.46%
MCHP F -0.45%
IPG F -0.45%
GLW B -0.43%
DE C -0.43%
DUK C -0.42%
HPQ B -0.42%
UPS C -0.4%
PH B -0.39%
TGT B -0.37%
WM B -0.35%
HPE B -0.35%
GRMN B -0.35%
GD D -0.34%
FITB B -0.33%
EMR A -0.32%
ITW B -0.32%
NOC D -0.31%
CVS F -0.31%
TSCO D -0.31%
STT B -0.29%
FDX B -0.28%
BDX F -0.28%
EQR C -0.27%
TROW B -0.27%
HBAN B -0.26%
NSC B -0.26%
STX D -0.26%
RF A -0.25%
PPG F -0.25%
CINF A -0.24%
KMB C -0.23%
CFG B -0.22%
KVUE A -0.22%
NTRS A -0.21%
OKE A -0.21%
MAA A -0.21%
GPC F -0.21%
SYY D -0.2%
NXST C -0.2%
LYB F -0.2%
CMI A -0.2%
PFG C -0.19%
GIS F -0.19%
EXC C -0.19%
PSX C -0.19%
FAST B -0.19%
BBY D -0.19%
KEY B -0.18%
RSG A -0.18%
KMI A -0.17%
FNF A -0.17%
SWKS F -0.17%
PKG B -0.17%
VLO C -0.16%
EIX C -0.16%
AVY D -0.15%
UDR C -0.15%
JNPR D -0.15%
WEC A -0.15%
ETR A -0.15%
ROK B -0.14%
RPM B -0.14%
AMCR D -0.13%
CUBE C -0.13%
CF A -0.13%
BXP D -0.12%
UNM A -0.12%
JEF A -0.12%
CCOI B -0.12%
CAH B -0.12%
DOV B -0.12%
DKS D -0.12%
K B -0.11%
FE C -0.11%
ALLY C -0.11%
ES C -0.11%
BR B -0.11%
OHI B -0.11%
ORI A -0.1%
WBS A -0.1%
CLX A -0.1%
HUBB B -0.1%
FHN A -0.1%
EMN D -0.1%
TSN B -0.09%
NNN C -0.09%
WSO A -0.09%
HRB D -0.09%
CMA B -0.09%
HAS D -0.09%
FRT B -0.09%
SNV B -0.08%
CFR B -0.08%
PB A -0.08%
ZION B -0.08%
ADC A -0.08%
GBCI B -0.07%
OC A -0.07%
STWD C -0.07%
BEN C -0.07%
CADE B -0.07%
FAF C -0.07%
CAG F -0.07%
EVRG A -0.07%
SNA B -0.07%
DGX A -0.07%
BAX F -0.07%
GPK D -0.07%
CE F -0.07%
ONB B -0.07%
MAS D -0.07%
RDN D -0.06%
CHRW B -0.06%
AVT C -0.06%
JHG B -0.06%
SJM D -0.06%
UBSI B -0.06%
FNB B -0.06%
SWK F -0.06%
LNC B -0.06%
FMC D -0.06%
COLB B -0.06%
WHR B -0.06%
PNW B -0.05%
LECO C -0.05%
OZK B -0.05%
ALLE D -0.05%
CTRE C -0.05%
CBT C -0.05%
IDCC B -0.05%
NVT C -0.05%
HIW D -0.04%
FHB B -0.04%
NSA C -0.04%
HII F -0.04%
CDP C -0.04%
CATY B -0.04%
CBU B -0.04%
SLGN A -0.04%
DCI B -0.04%
TTC F -0.04%
PII F -0.04%
WU F -0.04%
KRC C -0.04%
AVNT B -0.04%
ASB B -0.04%
AUB B -0.04%
FULT B -0.04%
UCB A -0.04%
VLY B -0.04%
SON F -0.04%
AOS F -0.04%
OGE A -0.04%
SEE D -0.04%
HRL D -0.04%
INGR B -0.04%
CPB D -0.04%
UGI C -0.03%
CC D -0.03%
NFG A -0.03%
CVBF B -0.03%
OSK C -0.03%
LCII D -0.03%
FCPT C -0.03%
SXT C -0.03%
FFBC B -0.03%
SFNC B -0.03%
DTM A -0.03%
FLS A -0.03%
FHI B -0.03%
ABR B -0.03%
INDB B -0.03%
BOH B -0.03%
ASH F -0.03%
BKU A -0.03%
WAFD B -0.03%
RHI C -0.03%
NEU D -0.03%
R B -0.03%
HASI F -0.03%
NWE C -0.02%
KFY B -0.02%
ALE A -0.02%
MSM D -0.02%
OGN F -0.02%
TKR F -0.02%
OGS A -0.02%
SR A -0.02%
PZZA F -0.02%
FLO D -0.02%
TRMK B -0.02%
SWX A -0.02%
BKH A -0.02%
POR C -0.02%
GATX B -0.02%
VSH F -0.02%
SMG C -0.02%
MMS D -0.02%
BANR B -0.02%
PDCO F -0.01%
HI C -0.01%
KMT C -0.01%
B A -0.01%
ENR B -0.01%
WERN B -0.01%
TRN A -0.01%
NAVI F -0.01%
NSP F -0.01%
MAN F -0.01%
AVA C -0.01%
ABM B -0.01%
PRGO C -0.01%
BRC C -0.01%
XRAY D -0.01%
Compare ETFs