LVOL vs. ZECP ETF Comparison

Comparison of American Century Low Volatility ETF (LVOL) to Zacks Earnings Consistent Portfolio ETF (ZECP)
LVOL

American Century Low Volatility ETF

LVOL Description

The investment seeks capital appreciation. The fund generally invests in common stocks of U.S. companies that have a market capitalization greater than $2 billion. It seeks to deliver a lower realized portfolio volatility than its benchmark, the S&P 500® Index, by utilizing a stock selection process that expands on traditional measures of price volatility by including measures of asymmetric volatility and seeking securities of businesses that demonstrate consistent cash-flows, stable operations, and strong balance sheets. The fund is an actively managed ETF that does not seek to replicate the performance of a specified index.

Grade (RS Rating)

Last Trade

$56.41

Average Daily Volume

251

Number of Holdings *

98

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

Zacks Earnings Consistent Portfolio ETF

ZECP Description The Zacks Earnings Consistent Portfolio ETF seeks to provide long-term total returns and minimize capital loss. The Fund pursues its investment objective by constructing a portfolio of companies that exhibit a track record of moving through recessionary periods with little to minimal impact on aggregate earnings growth relative to the overall equity market.

Grade (RS Rating)

Last Trade

$31.99

Average Daily Volume

38,461

Number of Holdings *

61

* may have additional holdings in another (foreign) market
Performance
Period LVOL ZECP
30 Days 3.81% 4.34%
60 Days 4.48% 4.24%
90 Days 5.85% 5.93%
12 Months 23.67% 26.78%
28 Overlapping Holdings
Symbol Grade Weight in LVOL Weight in ZECP Overlap
AAPL B 7.14% 6.17% 6.17%
ABT B 1.35% 1.08% 1.08%
ACN B 2.46% 1.67% 1.67%
AMGN D 0.13% 1.2% 0.13%
AMP B 0.71% 1.99% 0.71%
BLK C 0.63% 0.91% 0.63%
BMY B 0.27% 0.72% 0.27%
BSX C 1.12% 1.15% 1.12%
CSCO A 2.62% 0.43% 0.43%
CTAS B 1.82% 2.08% 1.82%
FI A 1.03% 1.24% 1.03%
GD F 0.87% 0.89% 0.87%
GOOGL C 2.38% 4.34% 2.38%
HD A 2.42% 2.53% 2.42%
HIG B 0.66% 1.82% 0.66%
IBM C 0.42% 0.86% 0.42%
INTU C 1.43% 1.25% 1.25%
JNJ D 2.14% 1.31% 1.31%
MCD D 0.52% 0.99% 0.52%
MCO A 0.85% 1.33% 0.85%
MMC A 1.84% 2.01% 1.84%
MRK F 1.45% 0.75% 0.75%
MSFT D 7.55% 5.59% 5.59%
PEP F 1.0% 1.58% 1.0%
PG A 2.68% 2.7% 2.68%
RSG A 1.03% 1.72% 1.03%
SYK C 0.58% 1.12% 0.58%
WMT B 0.87% 2.58% 0.87%
LVOL Overweight 70 Positions Relative to ZECP
Symbol Grade Weight
V A 3.19%
AMZN C 2.81%
MA B 2.62%
BRK.A B 2.51%
LIN D 2.44%
APH B 1.91%
COST B 1.78%
MDT D 1.64%
SPGI C 1.53%
CTSH B 1.44%
HON B 1.31%
PAYX B 1.29%
PTC A 1.26%
DOX D 1.21%
SHW A 0.97%
ECL D 0.91%
MSI C 0.89%
CL D 0.87%
WM A 0.85%
ITW A 0.8%
DOV A 0.78%
ADSK B 0.78%
EA C 0.77%
ROP B 0.75%
GOOG C 0.75%
LOW C 0.68%
TDY B 0.67%
CB D 0.64%
PSA C 0.57%
FAST B 0.55%
GWW A 0.55%
NDSN B 0.55%
KMB C 0.53%
CRM B 0.51%
VRSK A 0.46%
IT C 0.45%
YUM B 0.43%
SNA A 0.41%
CMCSA C 0.41%
NTAP C 0.39%
OTIS C 0.38%
PH A 0.36%
NOW B 0.35%
IEX B 0.32%
ADP B 0.31%
BR A 0.3%
PKG B 0.25%
ABBV D 0.25%
AVB B 0.24%
CMI A 0.24%
ZBH C 0.22%
HOLX D 0.21%
BKNG B 0.2%
KO D 0.19%
FDS B 0.18%
MNST B 0.18%
AVY D 0.18%
MDLZ F 0.18%
VRSN F 0.18%
MAS C 0.18%
FFIV A 0.16%
TROW A 0.16%
MSCI C 0.16%
HLT A 0.15%
JKHY D 0.14%
CW B 0.12%
GGG B 0.08%
LSTR B 0.08%
DCI A 0.08%
CHE D 0.07%
LVOL Underweight 33 Positions Relative to ZECP
Symbol Grade Weight
UNH B -2.84%
JPM B -2.8%
CAT B -2.61%
AXP A -2.55%
SNPS B -2.39%
NFLX B -2.38%
LLY F -2.13%
RCL B -1.81%
AEP D -1.71%
AMAT F -1.65%
ORCL C -1.59%
MET A -1.39%
MAR A -1.38%
TFC B -1.36%
RTX D -1.34%
CDNS B -1.33%
PHM C -1.25%
HSY F -1.19%
PNC A -1.15%
TJX A -1.06%
SO D -1.04%
AWK D -1.02%
TXN D -1.01%
TMO F -0.98%
WRB A -0.96%
MAA B -0.89%
LH B -0.85%
NEE D -0.81%
CHD B -0.81%
CAH B -0.77%
PLD D -0.68%
DHR D -0.64%
NDAQ A -0.45%
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