MDPL vs. VAW ETF Comparison

Comparison of Monarch Dividend Plus Index ETF (MDPL) to Vanguard Materials ETF - DNQ (VAW)
MDPL

Monarch Dividend Plus Index ETF

MDPL Description

MPDL tracks an equal-weighted index of 30 dividend-paying US stocks that are expected to provide dividend income and capital appreciation.

Grade (RS Rating)

Last Trade

$26.91

Average Daily Volume

5,272

Number of Holdings *

30

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

Vanguard Materials ETF - DNQ

VAW Description The investment seeks to track the performance of a benchmark index. The fund employs an indexing investment approach designed to track the performance of the MSCI US Investable Market Index (IMI)/Materials 25/50, an index made up of stocks of large, mid-size, and small U.S. companies within the materials sector, as classified under the Global Industry Classification Standard (GICS). It attempts to replicate the target index by investing all, or substantially all, of its assets in the stocks that make up the index, holding each stock in approximately the same proportion as its weighting in the index. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$205.52

Average Daily Volume

30,032

Number of Holdings *

116

* may have additional holdings in another (foreign) market
Performance
Period MDPL VAW
30 Days 0.14% -3.23%
60 Days 2.44% 1.69%
90 Days 4.35% 3.95%
12 Months 18.58%
5 Overlapping Holdings
Symbol Grade Weight in MDPL Weight in VAW Overlap
AMCR D 3.19% 1.12% 1.12%
GPK D 3.3% 0.62% 0.62%
RGLD C 3.25% 0.47% 0.47%
SON F 3.21% 0.37% 0.37%
STLD C 3.55% 1.28% 1.28%
MDPL Overweight 25 Positions Relative to VAW
Symbol Grade Weight
EQT B 3.67%
ALSN B 3.53%
CTSH A 3.5%
G B 3.5%
GPC D 3.48%
CABO B 3.45%
NXST C 3.42%
OVV C 3.42%
SSNC C 3.4%
WTW A 3.39%
KR A 3.36%
OC A 3.34%
ELV F 3.33%
TAP B 3.31%
FANG C 3.31%
SJM F 3.28%
CVS F 3.28%
CMCSA B 3.26%
CI D 3.24%
MRK F 3.19%
MCHP F 3.19%
CAG F 3.14%
JNJ D 3.14%
MKTX C 3.06%
DG F 3.06%
MDPL Underweight 111 Positions Relative to VAW
Symbol Grade Weight
LIN D -15.61%
SHW A -6.26%
FCX F -4.88%
APD B -4.51%
ECL C -4.47%
NEM F -4.2%
CTVA C -2.79%
DOW F -2.62%
DD D -2.54%
NUE D -2.45%
VMC B -2.26%
MLM B -2.26%
PPG F -2.12%
IFF F -1.82%
SW B -1.75%
LYB F -1.7%
BALL D -1.44%
PKG B -1.32%
AVY F -1.21%
RS C -1.13%
IP B -1.1%
CF B -1.07%
RPM A -1.06%
CE F -1.01%
EMN D -0.9%
CCK D -0.79%
ATR A -0.72%
ALB C -0.66%
EXP B -0.66%
AA C -0.62%
MOS D -0.59%
ATI F -0.57%
FMC F -0.56%
X D -0.54%
AXTA A -0.54%
BERY D -0.53%
CRS B -0.51%
LPX A -0.47%
ESI B -0.43%
CMC B -0.43%
CBT C -0.42%
CLF F -0.41%
BCPC B -0.39%
OLN F -0.39%
WLK F -0.39%
SEE C -0.36%
SUM B -0.33%
KNF C -0.33%
SLGN B -0.31%
AVNT B -0.31%
FUL F -0.29%
ASH F -0.28%
HL D -0.27%
NEU C -0.27%
HUN F -0.27%
SMG D -0.25%
HCC C -0.23%
CC C -0.21%
SXT B -0.2%
SLVM C -0.2%
CDE D -0.19%
IOSP B -0.19%
AMR C -0.18%
MTX B -0.17%
HWKN C -0.17%
MTRN B -0.16%
ARCH B -0.16%
KWR C -0.16%
MP C -0.15%
OI C -0.14%
PRM C -0.13%
TROX F -0.12%
SCL C -0.12%
ASPN F -0.12%
GEF B -0.1%
NGVT B -0.09%
USLM B -0.08%
KALU C -0.08%
TRS D -0.07%
OEC D -0.07%
WS B -0.07%
PCT C -0.07%
ASIX B -0.06%
CENX B -0.06%
MATV F -0.06%
SXC B -0.05%
HAYN A -0.05%
ECVT C -0.05%
KOP C -0.05%
PTVE C -0.04%
MTUS D -0.04%
IE C -0.04%
RYI B -0.04%
GATO C -0.04%
ZEUS C -0.03%
LXU C -0.03%
CMP C -0.03%
MYE F -0.03%
CLW F -0.03%
RDUS D -0.03%
IPI C -0.02%
MERC F -0.02%
PACK C -0.02%
KRO D -0.02%
METC C -0.02%
AVD C -0.01%
TSE F -0.01%
PLL C -0.01%
ORGN D -0.01%
FEAM F -0.0%
DNMR F -0.0%
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