MFUL vs. FTLS ETF Comparison

Comparison of Mindful Conservative ETF (MFUL) to First Trust Long/Short Equity (FTLS)
MFUL

Mindful Conservative ETF

MFUL Description

Mindful Conservative ETF is an exchange traded fund of fund launched by Collaborative Investment Series Trust. The fund is co-managed by Tuttle Tactical Management, LLC and Retireful, LLC. It invests public equity and fixed income markets of global emerging region. For its equity portion, the fund invests through other funds in stocks of companies operating across diversified sectors. The fund invests in growth and value stocks of companies across diversified market capitalizations, within the market capitalization range of MSCI Emerging Market index. For its fixed income portion, the fund invests through other funds in below investment grade securities that are rated below Baa3 by Moody’s Investors Service or below BBB- by Standard and Poor’s Rating Group. The fund invests in securities of any maturity. The fund employs proprietary research to create its portfolio. Mindful Conservative ETF is domiciled in the United States.

Grade (RS Rating)

Last Trade

$21.89

Average Daily Volume

7,657

Number of Holdings *

16

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

First Trust Long/Short Equity

FTLS Description The investment seeks to provide investors with long-term total return. Under normal circumstances, at least 80% of the fund's assets (plus the amount of any borrowing for investment purposes) will be exposed to U.S. exchange-listed equity securities of U.S. and foreign companies by investing in such securities directly and/or in U.S. exchange-traded funds ("ETFs") that provide exposure to such securities. It may invest up to 20% of its net assets (plus the amount of any borrowing for investment purposes) in U.S. exchange-listed equity index futures contracts. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$65.34

Average Daily Volume

126,907

Number of Holdings *

384

* may have additional holdings in another (foreign) market
Performance
Period MFUL FTLS
30 Days -0.27% 0.68%
60 Days 0.30% 4.21%
90 Days 1.91% 3.64%
12 Months 8.42% 20.39%
1 Overlapping Holdings
Symbol Grade Weight in MFUL Weight in FTLS Overlap
SCHV B 10.63% 0.27% 0.27%
MFUL Overweight 15 Positions Relative to FTLS
Symbol Grade Weight
GBIL A 13.47%
BIL A 10.53%
USFR A 8.6%
STIP C 6.8%
SGOV A 6.47%
MGK B 5.3%
CWB A 5.07%
ICVT A 4.89%
MINT A 4.88%
FCOR C 4.36%
JPST A 4.33%
HNDL C 4.25%
INKM C 3.64%
XLG B 3.63%
GAL C 3.16%
MFUL Underweight 383 Positions Relative to FTLS
Symbol Grade Weight
AAPL C -7.52%
NVDA B -4.98%
MSFT D -4.5%
AMZN B -2.75%
TMUS A -2.29%
C A -2.21%
LOW A -2.16%
ACN C -2.13%
SCHW A -2.09%
QCOM F -2.01%
JNJ D -1.94%
PM A -1.88%
META C -1.84%
FDX A -1.66%
PH A -1.65%
CME A -1.58%
MO A -1.48%
GOOGL B -1.46%
VLO C -1.41%
MPC D -1.35%
USB B -1.34%
ILMN C -1.25%
KMI A -1.23%
GOOG B -1.22%
CL D -1.17%
AVGO C -1.16%
LNG A -1.15%
CTAS B -1.12%
BRK.A A -1.12%
TRV A -1.05%
TFC A -1.03%
HPQ B -1.03%
FIS B -0.99%
HWM A -0.97%
JPM A -0.92%
SYY D -0.86%
LLY F -0.86%
ALL A -0.86%
FANG D -0.84%
SYF A -0.8%
NTAP D -0.79%
JBL C -0.79%
PBR D -0.72%
RL B -0.71%
TWLO A -0.7%
AFL C -0.69%
TOL B -0.66%
EAT A -0.63%
CSL B -0.6%
NVR D -0.56%
CF A -0.55%
PNR A -0.55%
INSM D -0.55%
VLTO D -0.5%
BJ B -0.49%
FLEX B -0.48%
MAS D -0.47%
CROX F -0.46%
OKTA D -0.46%
VRSN D -0.46%
ZIM A -0.45%
GEN B -0.45%
SWK F -0.44%
NTRS A -0.43%
NVS D -0.43%
GL B -0.41%
VICI C -0.4%
CAG F -0.4%
FFIV B -0.4%
PENN B -0.39%
DBX C -0.36%
EXP B -0.36%
CRS A -0.35%
TTC D -0.34%
SNA A -0.33%
TKO C -0.32%
WRB A -0.32%
CCK D -0.31%
LPX A -0.31%
ALLY C -0.31%
JAZZ A -0.3%
PI D -0.3%
AYI A -0.29%
ASO F -0.29%
IWD B -0.27%
SPYV B -0.26%
RPRX F -0.25%
EWBC A -0.25%
CNK A -0.24%
WHD B -0.22%
AIZ A -0.22%
KNSL C -0.21%
HRB D -0.21%
MSM C -0.21%
UHS D -0.2%
SAM B -0.2%
EXEL B -0.2%
ALSN B -0.2%
MGY A -0.2%
TWST F -0.19%
COLB A -0.18%
THO B -0.18%
ADMA C -0.17%
ALKS B -0.17%
SKYW A -0.16%
CALM A -0.16%
UMBF A -0.16%
PNFP A -0.16%
SFM A -0.16%
STNG F -0.16%
GLBE B -0.16%
MATX B -0.15%
PRI A -0.15%
CRC B -0.15%
LEG F -0.14%
LOGI F -0.14%
AXS A -0.14%
CBT C -0.14%
BFH A -0.14%
ORI A -0.14%
MTG C -0.13%
GMS A -0.13%
VRNA B -0.13%
CSWI B -0.13%
GM A -0.13%
PAA A -0.13%
SIGI A -0.13%
OPCH F -0.12%
WGO B -0.12%
KRG B -0.12%
PPC B -0.12%
GFF A -0.12%
FTDR B -0.12%
ZWS B -0.12%
BFAM F -0.12%
CBSH A -0.12%
NSA C -0.11%
ABM B -0.11%
MMS D -0.11%
ENLC A -0.11%
HESM C -0.11%
AM A -0.11%
SMPL B -0.11%
GBCI A -0.1%
TBBK A -0.1%
GRBK D -0.1%
THG A -0.1%
LOPE B -0.1%
YOU D -0.1%
EXTR B -0.1%
TCBI A -0.1%
RDFN D -0.1%
ESNT D -0.09%
PRGS B -0.09%
DBRG D -0.09%
PAYO A -0.09%
KFY B -0.09%
VCYT B -0.09%
FOLD F -0.09%
LCII D -0.09%
TXG F -0.09%
AZZ B -0.08%
KMPR A -0.08%
UBSI A -0.08%
PLXS B -0.08%
HAYW A -0.08%
RLI A -0.08%
EPR D -0.08%
BOH A -0.08%
CARG A -0.08%
LANC D -0.08%
CUBI B -0.08%
NMIH D -0.07%
EBC A -0.07%
FHB A -0.07%
PBH A -0.07%
BCRX D -0.07%
REVG A -0.07%
WMB A -0.07%
AVNT A -0.07%
AMPH F -0.06%
GSL F -0.06%
PLMR A -0.06%
WFG D -0.06%
ADUS D -0.06%
BRC C -0.06%
AUB A -0.06%
ICFI F -0.06%
MQ F -0.06%
ROIC A -0.06%
OTEX F -0.06%
SUPN B -0.06%
MYGN F -0.05%
COLL F -0.05%
TRMD F -0.05%
CDNA D -0.04%
VIST C --0.02%
CBU A --0.02%
HLN D --0.02%
DNB B --0.02%
SAIA B --0.02%
COTY F --0.02%
KD A --0.02%
RIVN F --0.02%
FRO D --0.02%
COHR B --0.02%
UWMC F --0.02%
WOLF F --0.02%
HON A --0.02%
NVEE F --0.02%
LKFN A --0.02%
AER B --0.02%
ARM F --0.02%
IBOC A --0.02%
RUN F --0.02%
VSAT F --0.02%
ASPN F --0.02%
EA A --0.02%
CVX A --0.02%
ENS D --0.02%
FSLR F --0.02%
TFIN A --0.03%
ALB C --0.03%
MARA B --0.03%
RCL A --0.03%
HHH B --0.03%
UTZ D --0.03%
ICHR C --0.03%
CNNE B --0.03%
NEOG D --0.03%
WMT A --0.03%
GE D --0.03%
GKOS B --0.03%
AMRC F --0.03%
BVN F --0.03%
RDY D --0.03%
CLH C --0.03%
BURL C --0.03%
NWSA B --0.03%
DIOD F --0.03%
ARLO D --0.03%
OSIS A --0.03%
PAR A --0.03%
PSMT D --0.03%
AZTA F --0.03%
SDGR D --0.03%
BE A --0.03%
RXST F --0.03%
TMO D --0.03%
AMD F --0.03%
BIRK F --0.03%
AMRK F --0.03%
FAST B --0.03%
GPRE F --0.03%
SLGN B --0.03%
ATEC C --0.04%
STZ D --0.04%
CTRA A --0.04%
CRDO C --0.04%
APPN B --0.04%
CFLT C --0.04%
AMAT F --0.04%
IRTC C --0.04%
UPST B --0.04%
EQT A --0.04%
FFIN A --0.04%
ERJ A --0.04%
RH C --0.04%
PRCT B --0.04%
ENR A --0.04%
OSK C --0.04%
AEO F --0.05%
ACIW B --0.05%
ZD B --0.05%
ACVA A --0.05%
SOFI A --0.05%
VRRM D --0.05%
LYFT B --0.05%
LMND A --0.05%
GATX A --0.05%
TTD B --0.06%
COP C --0.06%
MSA D --0.06%
VAL F --0.06%
WST C --0.06%
AVAV C --0.07%
MMYT C --0.07%
APO A --0.07%
SSB A --0.07%
CDW F --0.07%
AVY D --0.07%
KTOS B --0.07%
MUFG A --0.07%
HCA D --0.07%
DLB D --0.07%
SE B --0.07%
DY C --0.08%
BA F --0.08%
VNT C --0.08%
NSIT F --0.09%
CCOI B --0.09%
TRMB A --0.09%
R A --0.09%
NXPI F --0.09%
MAT C --0.09%
HAE A --0.1%
ING D --0.1%
GPC D --0.1%
VVV B --0.1%
ARGX B --0.11%
STM F --0.11%
SLB C --0.12%
HII F --0.12%
IDCC A --0.13%
BKR A --0.13%
KEYS C --0.13%
STE D --0.13%
ABT B --0.14%
NFLX A --0.14%
HQY A --0.14%
ASX F --0.15%
PKG B --0.15%
TM F --0.15%
INFY D --0.16%
SYK A --0.16%
VMC B --0.16%
GSK F --0.17%
IPG F --0.17%
EFX F --0.19%
BWXT A --0.19%
MU D --0.19%
GWRE B --0.2%
FMX F --0.21%
URI B --0.21%
HSBC A --0.22%
PCAR B --0.22%
CCEP D --0.23%
DEO F --0.23%
PG C --0.25%
KR B --0.25%
TYL B --0.25%
PANW B --0.25%
OMC C --0.27%
SAP C --0.28%
GEHC D --0.28%
NSC B --0.28%
INTC C --0.3%
MMM D --0.3%
ISRG A --0.31%
UL D --0.31%
SNPS C --0.31%
WAT B --0.31%
TTWO A --0.32%
BABA D --0.32%
LMT D --0.33%
MDLZ F --0.33%
NOW B --0.35%
ZBH C --0.36%
CMI A --0.36%
BK A --0.37%
TXN C --0.38%
HDB C --0.39%
ASML F --0.4%
MSI A --0.41%
MCD D --0.41%
UNH B --0.41%
XOM B --0.45%
WM B --0.46%
MLM B --0.49%
DE D --0.5%
PNC A --0.5%
VRSK B --0.54%
GD D --0.55%
PEP F --0.57%
ETN A --0.58%
PAYX B --0.58%
LIN D --0.6%
TSLA B --0.61%
DIS A --0.66%
CMCSA B --0.67%
APD A --0.69%
CDNS B --0.69%
ORCL A --0.82%
Compare ETFs