PPI vs. RPV ETF Comparison

Comparison of AXS Astoria Inflation Sensitive ETF (PPI) to Guggenheim S&P 500 Pure Value ETF (RPV)
PPI

AXS Astoria Inflation Sensitive ETF

PPI Description

AXS Astoria Inflation Sensitive ETF is an exchange traded fund launched by Investment Managers Series Trust II. The fund is co-managed by AXS Investments LLC, Astoria Portfolio Advisors LLC. It invests in public equity, fixed income and commodity markets of the United States. For its equity portion, it invests in stocks of companies operating across energy, financials, industrials and materials sectors. The fund invests in growth and value stocks of companies across diversified market capitalization. For its fixed income portion, it invests through other funds in fixed income securities of varying maturities. For its commodity portion, it invests through other funds in commodities. The fund employs fundamental and quantitative analysis with top-down securities picking approach to create its portfolio. The fund employs internal and external research to create its portfolio. AXS Astoria Inflation Sensitive ETF is domiciled in the United States.

Grade (RS Rating)

Last Trade

$15.72

Average Daily Volume

15,310

Number of Holdings *

42

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

Guggenheim S&P 500 Pure Value ETF

RPV Description The investment seeks to replicate as closely as possible, before fees and expenses, the performance of the S&P 500 Pure Value Index Total Return. The fund will invest at least 90% of its net assets, plus any borrowings for investment purposes, in the equity securities included in the underlying index. The underlying index is narrow in focus, containing only those S&P 500 companies with strong value characteristics as selected by S&P. It may hold up to 10% of its assets in securities not included in the underlying index. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$96.08

Average Daily Volume

142,714

Number of Holdings *

93

* may have additional holdings in another (foreign) market
Performance
Period PPI RPV
30 Days 0.64% 6.02%
60 Days 1.67% 7.94%
90 Days 2.13% 8.21%
12 Months 20.64% 30.05%
3 Overlapping Holdings
Symbol Grade Weight in PPI Weight in RPV Overlap
COF C 1.61% 1.5% 1.5%
LYB F 1.55% 0.41% 0.41%
NRG B 1.08% 1.39% 1.08%
PPI Overweight 39 Positions Relative to RPV
Symbol Grade Weight
GLDM C 4.8%
XHLF B 3.98%
CAT B 3.96%
XOM B 3.95%
SPG A 2.9%
COP C 2.66%
URI C 2.63%
GDX C 2.52%
CEG C 2.21%
CBRE B 2.04%
SCHP D 1.99%
TBIL B 1.99%
DAL B 1.87%
VST A 1.83%
EVR B 1.61%
JEF A 1.59%
CF A 1.56%
STIP C 1.53%
AMP A 1.49%
HAL C 1.48%
EOG A 1.47%
GPK C 1.44%
SLB C 1.39%
GLTR C 1.35%
DVN F 1.33%
STLD B 1.3%
SBAC D 1.2%
EME A 1.15%
FIX A 1.15%
OVV B 1.13%
RPM A 1.03%
FANG C 1.0%
BLDR D 1.0%
JLL D 0.99%
CSL C 0.95%
TXT D 0.93%
WMS F 0.87%
AES F 0.8%
CE F 0.56%
PPI Underweight 90 Positions Relative to RPV
Symbol Grade Weight
GM C -4.89%
UAL A -4.0%
BRK.A B -3.71%
MHK D -2.32%
VTRS A -2.29%
F C -2.25%
TSN B -2.22%
C A -2.17%
CFG B -2.12%
KR B -1.89%
PARA C -1.84%
IVZ B -1.82%
VLO C -1.75%
KMX B -1.51%
BG D -1.5%
MCK A -1.5%
SYF B -1.48%
IP A -1.47%
SW A -1.46%
CVS D -1.45%
WBD B -1.45%
HPE B -1.42%
PSX C -1.39%
TFC A -1.36%
COR B -1.35%
MTB A -1.31%
CNC D -1.3%
CI D -1.26%
CAH B -1.24%
BWA D -1.21%
BBY D -1.18%
WFC A -1.15%
UHS D -1.12%
BAC A -1.1%
LUV C -1.07%
BK A -1.05%
PRU A -1.04%
L A -1.02%
HBAN A -0.99%
RF A -0.95%
KEY B -0.93%
AIG B -0.92%
STT B -0.89%
T A -0.88%
GS A -0.86%
ADM D -0.84%
TAP C -0.82%
WBA F -0.8%
KHC F -0.79%
MOS F -0.77%
HIG B -0.74%
FITB B -0.69%
MET A -0.69%
PNC B -0.69%
AIZ A -0.66%
IFF D -0.64%
KMI A -0.63%
CINF A -0.61%
FOXA A -0.61%
EQT B -0.6%
BEN C -0.6%
EVRG A -0.58%
ALL A -0.57%
USB A -0.56%
VZ C -0.55%
CHRW B -0.55%
TRV B -0.55%
PNW A -0.55%
TGT F -0.53%
SWK D -0.52%
FDX B -0.52%
CTVA C -0.51%
EMN C -0.51%
HPQ B -0.5%
PFG D -0.49%
EG C -0.49%
SYY D -0.48%
CAG F -0.48%
ES C -0.47%
CVX A -0.46%
DOW F -0.45%
HSIC C -0.43%
NWSA A -0.42%
ARE F -0.42%
ELV F -0.41%
ALB B -0.38%
LKQ F -0.37%
FOX A -0.31%
HUM C -0.26%
NWS A -0.14%
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