MPAY vs. QRMI ETF Comparison

Comparison of Akros Monthly Payout ETF (MPAY) to Global X NASDAQ 100 Risk Managed Income ETF (QRMI)
MPAY

Akros Monthly Payout ETF

MPAY Description

MPAY seeks to provide potential monthly distributions, which may include return of capital to investors. The index is generally comprised of 50 stocks and 18 ETFs. For the stock component of the index, only those listed on a US exchange and have a market-cap of at least $1 billion may be included. A proprietary algorithm analyzes historical financial and trading data to rank and select stocks based on their excess return factor, which is a formula that gauges whether a stock could outperform future markets. The top 50 stocks are selected to be included. The ETF component of the index aims to cut across different asset classes: mainly foreign equity, broad commodity, gold, Treasurys, bonds, REITs, MBTs, and global infrastructure ETFs. Individual weights are based on a proprietary methodology that incorporates modern portfolio theory principles such as historical covariance, historical mean, historical risk contribution, and cluster analysis. The index is rebalanced monthly and is non-diversified.

Grade (RS Rating)

Last Trade

$25.89

Average Daily Volume

811

Number of Holdings *

51

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

Global X NASDAQ 100 Risk Managed Income ETF

QRMI Description Global X Funds - Global X NASDAQ 100 Risk Managed Income ETF is an exchange traded fund launched and managed by Global X Management Company LLC. The fund invests in the public equity markets of the United States. It takes long and short positions to invest directly and through derivatives such as options in stocks of companies operating across non-financial companies sectors. The fund invests in growth and value stocks of large-cap companies. It seeks to track the performance of the Nasdaq-100 Monthly Net Credit Collar 95-100 Index, by using full replication technique. Global X Funds - Global X NASDAQ 100 Risk Managed Income ETF was formed on August 25, 2021 and is domiciled in the United States.

Grade (RS Rating)

Last Trade

$17.00

Average Daily Volume

8,933

Number of Holdings *

101

* may have additional holdings in another (foreign) market
Performance
Period MPAY QRMI
30 Days 1.35% 1.66%
60 Days 0.61% 2.63%
90 Days 2.24% 3.97%
12 Months 24.38% 11.21%
21 Overlapping Holdings
Symbol Grade Weight in MPAY Weight in QRMI Overlap
AAPL C 5.94% 8.63% 5.94%
ABNB C 1.23% 0.38% 0.38%
ADBE C 1.57% 1.53% 1.53%
ADP B 1.24% 0.81% 0.81%
AMAT F 1.45% 0.98% 0.98%
AMZN C 4.97% 5.66% 4.97%
BKNG A 1.26% 1.12% 1.12%
COST B 1.77% 2.69% 1.77%
CSCO B 1.28% 1.55% 1.28%
FTNT C 1.28% 0.48% 0.48%
GOOGL C 4.73% 2.64% 2.64%
INTU C 1.3% 1.28% 1.28%
KLAC D 1.32% 0.58% 0.58%
LIN D 1.27% 1.42% 1.27%
MSFT F 5.7% 7.96% 5.7%
NFLX A 1.44% 2.31% 1.44%
NVDA C 6.38% 9.04% 6.38%
PEP F 1.25% 1.47% 1.25%
QCOM F 1.36% 1.16% 1.16%
TSLA B 1.83% 4.02% 1.83%
TXN C 1.23% 1.22% 1.22%
MPAY Overweight 30 Positions Relative to QRMI
Symbol Grade Weight
GLDM C 3.6%
IAUM C 3.36%
LLY F 3.04%
WMT A 2.21%
ORCL B 1.78%
V A 1.77%
MA C 1.76%
UNH C 1.74%
HD A 1.74%
XOM B 1.55%
MRK F 1.53%
NOW A 1.46%
JNJ D 1.46%
ABBV D 1.45%
CRM B 1.43%
LOW D 1.37%
ACN C 1.34%
CVX A 1.32%
MCD D 1.31%
CAT B 1.28%
HCA F 1.28%
TJX A 1.28%
PM B 1.27%
NKE D 1.25%
AZO C 1.24%
ABT B 1.23%
LMT D 1.23%
UPS C 1.22%
RTX C 1.19%
DELL C 1.02%
MPAY Underweight 80 Positions Relative to QRMI
Symbol Grade Weight
AVGO D -5.23%
META D -5.08%
GOOG C -2.54%
TMUS B -1.83%
AMD F -1.46%
ISRG A -1.24%
CMCSA B -1.1%
AMGN D -1.05%
HON B -0.98%
PANW C -0.84%
VRTX F -0.83%
GILD C -0.75%
SBUX A -0.73%
MU D -0.72%
INTC D -0.69%
ADI D -0.68%
MELI D -0.63%
LRCX F -0.62%
CTAS B -0.59%
PYPL B -0.58%
MDLZ F -0.57%
CDNS B -0.56%
SNPS B -0.56%
REGN F -0.56%
CRWD B -0.54%
MAR B -0.53%
MRVL B -0.5%
PDD F -0.49%
ORLY B -0.48%
CEG D -0.47%
CSX B -0.46%
ADSK A -0.45%
DASH A -0.44%
ASML F -0.42%
ROP B -0.41%
WDAY B -0.39%
PCAR B -0.39%
NXPI D -0.38%
CHTR C -0.38%
TTD B -0.37%
MNST C -0.36%
CPRT A -0.36%
FANG D -0.35%
PAYX C -0.34%
AEP D -0.32%
ODFL B -0.32%
FAST B -0.31%
ROST C -0.3%
KDP D -0.29%
EA A -0.28%
TEAM A -0.27%
VRSK A -0.27%
BKR B -0.27%
DDOG A -0.26%
CTSH B -0.26%
GEHC F -0.25%
KHC F -0.25%
LULU C -0.25%
IDXX F -0.24%
AZN D -0.24%
EXC C -0.24%
XEL A -0.24%
MCHP D -0.23%
CCEP C -0.23%
CSGP D -0.21%
TTWO A -0.21%
ZS C -0.21%
ON D -0.2%
ANSS B -0.2%
DXCM D -0.19%
WBD C -0.16%
CDW F -0.16%
BIIB F -0.16%
MDB C -0.15%
GFS C -0.15%
ILMN D -0.15%
MRNA F -0.11%
ARM D -0.11%
DLTR F -0.1%
SMCI F -0.08%
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