OSCV vs. BOUT ETF Comparison

Comparison of Opus Small Cap Value Plus ETF (OSCV) to Innovator IBD Breakout Opportunities ETF (BOUT)
OSCV

Opus Small Cap Value Plus ETF

OSCV Description

The investment seeks capital appreciation. The fund is an actively-managed exchange-traded fund ("ETF") that invests under normal circumstances at least 80% of its net assets (plus any borrowings for investment purposes) in equity securities of small-capitalization U.S. companies. The fund's sub-adviser defines a small-capitalization company as an issuer whose market capitalization at the time of purchase is in the range of those found in the Russell 2000® Index. The fund will primarily invest in common stocks and real estate investment trusts ("REITs").

Grade (RS Rating)

Last Trade

$40.16

Average Daily Volume

75,020

Number of Holdings *

67

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

Innovator IBD Breakout Opportunities ETF

BOUT Description The investment seeks to track, before fees and expenses, the performance of the IBD® Breakout Stocks Index (the "index"). The fund will normally invest at least 80% of its net assets (including investment borrowings) in the equity securities that comprise the index. The index seeks to provide opportunistic investment exposure to those stocks with the potential to "break out," or experience a period of sustained price growth beyond the stock's recent "resistance level," with consideration for various market conditions. The fund is non-diversified. BOUT uses technical analysis to find stocks that are likely to breakout. The funds index relies on an algorithm that establishes a base price (a recent high) for each eligible security. The index then follows the trend for each stock. Selected stocks are ranked by a combination of relative strength and fundamental factors, and then weighted in fixed tiers according to this ranking. In addition, BOUT will move 50% of its portfolio into T-bills based on market signals: a rapid increase in either margin debt or overall stock prices, combined with slowing reversing momentum in the S&P 500. The T-bill position will remain in place until the S&P 500 falls by 50% or show indications of rising momentum. BOUT is rebalanced and reconstituted weekly after the close on Friday. The frequent rebalance schedule means the fund will be highly responsive to the technical factors that drive its strategy, but could also experience high turnover.

Grade (RS Rating)

Last Trade

$40.11

Average Daily Volume

2,896

Number of Holdings *

44

* may have additional holdings in another (foreign) market
Performance
Period OSCV BOUT
30 Days 4.32% 5.31%
60 Days 5.69% 7.27%
90 Days 8.61% 8.87%
12 Months 27.68% 29.78%
0 Overlapping Holdings
Symbol Grade Weight in OSCV Weight in BOUT Overlap
OSCV Overweight 67 Positions Relative to BOUT
Symbol Grade Weight
CASY A 2.69%
ENSG D 2.57%
TXRH B 2.47%
TTEK F 2.39%
FIX A 2.29%
KAI B 2.23%
KBH D 2.11%
PRI B 2.05%
CW B 2.01%
CHE D 2.01%
OC A 1.93%
SYBT B 1.92%
THG A 1.91%
UFPI C 1.88%
EFSC B 1.86%
ACA A 1.85%
ICFI F 1.84%
NOG A 1.81%
HWKN B 1.77%
SBCF B 1.76%
EHC B 1.73%
HLI A 1.66%
GABC B 1.65%
MUSA B 1.57%
HOMB B 1.56%
CASH B 1.55%
LKFN B 1.54%
WTFC B 1.54%
PRIM A 1.51%
ATR B 1.48%
EPRT A 1.47%
CODI B 1.44%
CHRD F 1.39%
HCKT B 1.31%
WTBA B 1.3%
EGP D 1.28%
KFRC D 1.25%
OTTR C 1.23%
CWT C 1.23%
GGG B 1.21%
CHDN B 1.18%
BYD B 1.18%
HP C 1.15%
GPK D 1.12%
USLM B 1.11%
SPNS F 1.09%
LSTR D 1.08%
VCTR B 1.07%
LADR B 1.05%
NVT C 1.05%
KMPR A 1.04%
NJR A 1.02%
SCI B 1.01%
HIFS B 0.99%
ADC A 0.93%
RRC B 0.9%
TRNO D 0.89%
KRP B 0.88%
CPA A 0.87%
AMH C 0.86%
ASH F 0.8%
DOX D 0.77%
NSA C 0.72%
FELE B 0.71%
CIVI F 0.7%
AAON B 0.69%
FCPT C 0.65%
OSCV Underweight 44 Positions Relative to BOUT
Symbol Grade Weight
PACS F -4.48%
MS B -4.47%
LBRDK C -4.44%
NEM D -4.42%
VIK B -4.39%
EXPE B -4.28%
EQIX A -4.25%
AHR A -4.24%
IDCC B -4.01%
ETN B -3.82%
SPGI D -3.81%
EQH B -3.78%
CRM B -3.73%
BAH F -3.73%
DVA C -3.71%
PGR B -3.63%
CRDO C -2.87%
VRNS D -2.61%
ULS C -2.59%
IR B -2.49%
DT D -2.49%
NMIH C -2.44%
ONON B -2.35%
COLL F -2.23%
TSM C -1.31%
TBBK B -1.28%
NOW B -1.27%
CDNA D -1.24%
SCCO F -1.22%
SN D -1.2%
TCOM B -1.14%
BEKE C -1.06%
ROAD B -0.45%
AXON A -0.43%
TPH D -0.42%
IBKR A -0.42%
CWAN B -0.42%
AVGO D -0.42%
ALKT B -0.42%
GMED A -0.41%
CORT B -0.41%
ACGL D -0.4%
PLMR A -0.39%
JD D -0.38%
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