MVFD vs. SMCF ETF Comparison

Comparison of Monarch Volume Factor Dividend Tree Index ETF (MVFD) to Themes US Small Cap Cash Flow Champions ETF (SMCF)
MVFD

Monarch Volume Factor Dividend Tree Index ETF

MVFD Description

MVFD focuses on equities demonstrating strong cash flow and dividend potential, shifting towards fixed income ETFs linked to US Treasurys in unfavorable cash flow scenarios. The fund seeks to mirror the performance of its target index, comprised of 40 equally weighted stocks selected for their financial health and income-producing ability, alongside up to 5 fixed income ETFs. Driving its selection process is the proprietary Volume Factor methodology, which examines stocks by analyzing the dynamics between market volume and price. This analysis is facilitated by a distinctive volume-price confirmation indicator. Evaluating a broad pool of 3,000 U.S. stocks, the methodology generates a composite score to rank and ensure that only the top-performing equities under positive financial conditions are chosen. MVFDs strategy aims for adaptability, modifying its equity-to-fixed income ratio based on prevailing financial trends. Furthermore, the index undergoes quarterly reconstitution to realign with market changes, optimizing the funds portfolio composition accordingly.

Grade (RS Rating)

Last Trade

$27.79

Average Daily Volume

6,318

Number of Holdings *

39

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

Themes US Small Cap Cash Flow Champions ETF

SMCF Description The index is a free-float adjusted, market capitalization weighted index that is designed to provide exposure to small capitalization U.S. companies that have a high cash flow yield. The fund will invest, under normal circumstances, at least 80% of its net assets, plus the amount of any borrowings for investment purposes, in the securities that comprise the index. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$34.21

Average Daily Volume

372

Number of Holdings *

73

* may have additional holdings in another (foreign) market
Performance
Period MVFD SMCF
30 Days 5.79% 11.02%
60 Days 6.41% 10.14%
90 Days 8.33% 11.29%
12 Months
3 Overlapping Holdings
Symbol Grade Weight in MVFD Weight in SMCF Overlap
MATX C 2.88% 1.42% 1.42%
MLI C 2.7% 2.66% 2.66%
WD D 2.05% 0.92% 0.92%
MVFD Overweight 36 Positions Relative to SMCF
Symbol Grade Weight
MO A 3.74%
FOX A 3.57%
TGNA B 3.47%
FOXA B 3.36%
HLNE B 3.3%
BKH A 3.08%
VOYA B 3.0%
JHG A 2.92%
ADTN A 2.85%
ABM B 2.85%
QCOM F 2.71%
NYT C 2.62%
SR A 2.59%
EXPD D 2.47%
PM B 2.36%
LPX B 2.35%
RHI B 2.35%
WKC D 2.35%
MEI D 2.33%
SEM B 2.31%
AFL B 2.27%
CCK C 2.23%
GILD C 2.18%
CHRD D 2.17%
NTAP C 2.14%
CL D 2.13%
SSNC B 2.12%
AMKR D 2.08%
CME A 2.07%
NRG B 2.04%
ALLY C 2.04%
TTC D 1.93%
EXPI C 1.9%
KBH D 1.87%
ADM D 1.86%
BCO D 1.7%
MVFD Underweight 70 Positions Relative to SMCF
Symbol Grade Weight
MRO B -4.5%
BLDR D -4.39%
TOL B -4.16%
CF B -4.07%
WSM B -4.0%
RGA A -3.93%
FLEX A -3.9%
EWBC A -3.78%
FHN A -2.84%
EVR B -2.79%
AR B -2.77%
ORI A -2.45%
APA D -2.12%
UFPI B -2.07%
JXN C -1.82%
DINO D -1.77%
PR B -1.77%
MTDR B -1.75%
MTG C -1.72%
AXS A -1.71%
THG A -1.53%
STRL B -1.44%
BCC B -1.42%
OZK B -1.34%
SM B -1.34%
ABCB B -1.2%
AX A -1.09%
IBOC A -1.02%
BGC C -1.0%
CEIX A -0.94%
CALM A -0.94%
HCC B -0.92%
WSFS A -0.92%
FBP B -0.9%
DDS B -0.88%
BTU B -0.86%
PBF D -0.83%
NMIH D -0.79%
ARCH B -0.78%
APAM B -0.78%
EBC B -0.76%
VIRT B -0.76%
BFH B -0.72%
HESM B -0.71%
HTLF B -0.7%
ENVA B -0.69%
TBBK B -0.68%
AMR C -0.67%
VSTO A -0.61%
YOU D -0.58%
MGNI A -0.55%
TRMK B -0.55%
MCY A -0.54%
CVI F -0.52%
EQC B -0.51%
VRTS B -0.49%
DVAX C -0.46%
STBA B -0.42%
LOB B -0.42%
PRDO B -0.41%
HOPE B -0.4%
TCBK B -0.39%
TX F -0.39%
SPNT A -0.37%
CNA B -0.27%
MUR D -0.26%
FLNG B -0.22%
IRWD F -0.15%
CIVI D -0.14%
STNG F -0.01%
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