PPH vs. CANC ETF Comparison

Comparison of Market Vectors Pharmaceutical ETF (PPH) to Tema Oncology ETF (CANC)
PPH

Market Vectors Pharmaceutical ETF

PPH Description

The investment seeks to replicate as closely as possible, before fees and expenses, the price and yield performance of the Market Vectors US Listed Pharmaceutical 25 Index (the "Pharmaceutical Index"). The fund normally invests at least 80% of its total assets in securities that comprise the fund's benchmark index. The Pharmaceutical Index is comprised of common stocks and depositary receipts of U.S. exchange-listed companies in the pharmaceutical industry. Such companies may include medium-capitalization companies and foreign companies that are listed on a U.S. exchange. It is non-diversified.

Grade (RS Rating)

Last Trade

$91.39

Average Daily Volume

155,760

Number of Holdings *

24

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

Tema Oncology ETF

CANC Description Under normal circumstances, the fund seeks to achieve its investment objective by investing at least 80% of its net assets, which include borrowings for investment purposes, in publicly listed companies that derive at least 50% of revenues from oncology. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$27.91

Average Daily Volume

3,114

Number of Holdings *

43

* may have additional holdings in another (foreign) market
Performance
Period PPH CANC
30 Days -2.80% -0.85%
60 Days -7.69% -6.56%
90 Days -2.54% -1.34%
12 Months 21.69% 24.12%
2 Overlapping Holdings
Symbol Grade Weight in PPH Weight in CANC Overlap
MRK F 4.99% 2.8% 2.8%
NVS D 5.17% 2.18% 2.18%
PPH Overweight 22 Positions Relative to CANC
Symbol Grade Weight
LLY F 13.34%
NVO F 8.32%
JNJ D 6.66%
ABBV A 5.97%
BMY A 5.04%
AZN F 4.96%
ZTS D 4.63%
COR A 4.6%
MCK C 4.59%
PFE D 4.55%
HLN D 4.45%
TAK C 4.43%
SNY D 4.4%
GSK F 4.1%
TEVA A 3.64%
VTRS B 1.87%
CTLT D 1.07%
JAZZ D 0.99%
OGN D 0.61%
ELAN D 0.57%
PRGO D 0.42%
PDCO F 0.22%
PPH Underweight 41 Positions Relative to CANC
Symbol Grade Weight
REGN F -5.42%
AMGN C -5.42%
GILD A -4.36%
ARGX A -3.87%
RVMD A -3.83%
ILMN A -3.83%
INCY A -3.38%
BPMC C -3.14%
MREO D -2.78%
BGNE C -2.58%
EXEL A -2.33%
EXAS A -2.27%
CRSP C -2.22%
AGIO B -2.13%
NTLA F -2.05%
NUVL D -2.03%
GMAB F -1.94%
DAWN A -1.87%
LEGN F -1.81%
ACLX B -1.69%
LNTH C -1.65%
CLDX F -1.58%
MRUS C -1.42%
JANX A -1.42%
GH D -1.38%
SWTX D -1.21%
COGT B -1.19%
SDGR F -1.06%
MRNA F -0.94%
BCYC D -0.93%
BNTX B -0.93%
IDYA F -0.89%
CGEM F -0.83%
NRIX B -0.8%
RLAY F -0.76%
ORIC D -0.75%
RCUS F -0.72%
IMCR F -0.67%
TERN D -0.63%
CGON F -0.55%
ARVN C -0.48%
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