PRAY vs. PFIX ETF Comparison

Comparison of FIS Biblically Responsible Risk Managed ETF (PRAY) to Simplify Interest Rate Hedge ETF (PFIX)
PRAY

FIS Biblically Responsible Risk Managed ETF

PRAY Description

FIS Biblically Responsible Risk Managed ETF is an exchange traded fund launched and managed by Faith Investor Services LLC. The fund is co-managed by Capital Insight Partners, LLC. It invests in the public equity markets of global region. The fund invests in stocks of companies operating across diversified sectors. It invests in growth at a reasonable price stocks of companies across diversified market capitalization. It invests in stocks of companies that are deemed socially conscious in their business dealings. It invests in stocks of companies that follow the values and teachings of the Christian religion. The fund employs fundamental and quantitative analysis with top-down stock picking approach to create its portfolio. The fund seeks to benchmark the performance of its portfolio against the MSCI World Index. FIS Biblically Responsible Risk Managed ETF was formed on February 8, 2022 is domiciled in the United States.

Grade (RS Rating)

Last Trade

$30.25

Average Daily Volume

6,840

Number of Holdings *

58

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

Simplify Interest Rate Hedge ETF

PFIX Description The investment seeks to track the performance, before fees and expenses, of the SoFi Sustainable Dividend Index. The index follows a rules-based methodology that tracks the performance of the equity securities of publicly-traded, large- and mid-capitalization U.S. and non-U.S. companies in developed markets that are selected based on a set of dividend filters focused on dividend sustainability. The adviser attempts to invest all, or substantially all, of its assets in the component securities that make up the index. The fund will invest at least 80% its net assets in dividend paying securities. It is non-diversified.

Grade (RS Rating)

Last Trade

$49.90

Average Daily Volume

78,645

Number of Holdings *

108

* may have additional holdings in another (foreign) market
Performance
Period PRAY PFIX
30 Days 0.00% 12.81%
60 Days 3.30% 31.25%
90 Days 5.27% 19.37%
12 Months 24.69% 0.21%
5 Overlapping Holdings
Symbol Grade Weight in PRAY Weight in PFIX Overlap
AVGO C 1.26% 3.86% 1.26%
COP C 1.0% 1.01% 1.0%
EG D 1.11% 0.09% 0.09%
RSG B 1.23% 0.28% 0.28%
SWKS F 0.94% 0.12% 0.12%
PRAY Overweight 53 Positions Relative to PFIX
Symbol Grade Weight
NVDA A 5.22%
TOL B 3.67%
PANW B 3.35%
ISRG A 3.01%
CASY B 2.7%
NOW A 2.32%
GPK D 1.93%
URI B 1.78%
CCOI C 1.78%
HCA D 1.77%
LEN D 1.71%
VVV B 1.65%
COST B 1.65%
CHE D 1.64%
ICE C 1.6%
CHKP C 1.55%
TSCO D 1.49%
ON F 1.41%
NTAP D 1.38%
EQH B 1.36%
CPAY A 1.35%
AFL C 1.35%
ODFL B 1.23%
TS B 1.23%
ZTS D 1.22%
OWL B 1.22%
LOGI F 1.22%
LOPE B 1.19%
HDB C 1.18%
PH A 1.16%
DHR F 1.15%
CTSH A 1.11%
DPZ C 1.09%
BG D 1.06%
FCN F 1.05%
SYK A 1.01%
SMFG A 1.0%
DDOG B 0.94%
FCX F 0.92%
EOG A 0.92%
TRMB B 0.83%
AMT F 0.79%
GNTX C 0.77%
TEVA D 0.75%
OSK B 0.73%
ENR A 0.73%
EW F 0.71%
AGCO F 0.66%
COLD F 0.57%
HII F 0.54%
DXCM C 0.42%
BMRN F 0.27%
PII F 0.01%
PRAY Underweight 103 Positions Relative to PFIX
Symbol Grade Weight
JPM A -3.9%
XOM B -3.19%
JNJ D -2.83%
PG C -2.82%
CVX A -2.06%
TM F -1.97%
BAC A -1.73%
NVS F -1.56%
CSCO A -1.48%
CMCSA B -1.29%
QCOM F -1.27%
VZ D -1.26%
HSBH A -1.23%
TXN B -1.13%
PLD D -0.91%
BLK A -0.87%
TD D -0.83%
LMT D -0.82%
ETN B -0.82%
MS A -0.81%
UPS C -0.81%
ADP A -0.79%
C B -0.77%
MDLZ F -0.76%
CVS F -0.76%
MMC D -0.75%
GILD B -0.66%
SO D -0.55%
GD C -0.46%
USB B -0.45%
HMC F -0.45%
PSX C -0.45%
STLA F -0.43%
PNC B -0.43%
NSC B -0.42%
PCAR B -0.42%
TRV B -0.38%
APD B -0.37%
VLO C -0.36%
AIG B -0.34%
SRE B -0.33%
NUE D -0.32%
MET C -0.32%
OKE A -0.31%
AEP D -0.31%
PAYX B -0.3%
BK B -0.29%
JCI A -0.29%
LHX B -0.29%
CMI A -0.28%
GIS F -0.28%
EXC C -0.27%
KR A -0.26%
E F -0.26%
XEL A -0.25%
PEG C -0.23%
FANG C -0.23%
HSY F -0.22%
DFS B -0.22%
ADM F -0.22%
VICI D -0.22%
BCS B -0.22%
AVB B -0.19%
EIX C -0.19%
WEC B -0.18%
TROW A -0.17%
DTE D -0.17%
STT B -0.16%
FITB A -0.16%
ES D -0.15%
MTB A -0.15%
PFG C -0.14%
GPC D -0.14%
DRI B -0.14%
AEE B -0.14%
ETR B -0.14%
HBAN A -0.13%
GRMN A -0.13%
OMC A -0.13%
HPE B -0.13%
CMS D -0.12%
RF A -0.12%
SYF B -0.12%
HST D -0.11%
NTRS A -0.11%
VTRS B -0.11%
ATO B -0.11%
CINF A -0.11%
FNF C -0.1%
SNA A -0.1%
CCEP C -0.1%
PKG B -0.1%
BBY C -0.1%
IP B -0.09%
AMCR D -0.09%
CAG F -0.09%
NI A -0.08%
LNT C -0.08%
MOS D -0.07%
EVRG A -0.07%
CHRW A -0.06%
CPB F -0.06%
FRO D -0.02%
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