PSCU vs. MMSC ETF Comparison

Comparison of PowerShares S&P SmallCap Utilities Portfolio (PSCU) to First Trust Multi-Manager Small (MMSC)
PSCU

PowerShares S&P SmallCap Utilities Portfolio

PSCU Description

The PowerShares S&P SmallCap Utilities Portfolio (Fund) is based on the S&P SmallCap 600® Capped Utilities & Telecom Services Index (Index). The Fund will normally invest at least 90% of its total assets in common stocks that comprise the Index. The Index is designed to measure the overall performance of common stocks of US utilities and telecommunication services companies. These companies are principally engaged in providing either energy, water or natural gas utilities, as well as services designed to promote or enhance the transmission of voice, data and video over various communications media, including wireline, wireless (terrestrial-based), satellite and cable. The Index is a subset of the S&P SmallCap 600® Index, which is a float-adjusted, market-capitalization-weighted index reflecting the US small-cap market. The Fund and the Index are rebalanced and reconstituted quarterly.

Grade (RS Rating)

Last Trade

$59.93

Average Daily Volume

6,258

Number of Holdings *

34

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

First Trust Multi-Manager Small

MMSC Description First Trust Multi-Manager Small is an exchange traded fund launched and managed by First Trust Advisors L.P. The fund is co-managed by Driehaus Capital Management LLC and Stephens Investment Management Group. 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 stocks of small cap companies, within the market capitalization range of the Russell 2000 Growth Index. The fund invests in stocks of companies that are deemed socially conscious in their business dealings and directly promote environmental responsibility. The fund employs external research to create its portfolio. First Trust Multi-Manager Small was formed on October 13, 2021 and is domiciled in the United States.

Grade (RS Rating)

Last Trade

$20.51

Average Daily Volume

7,508

Number of Holdings *

180

* may have additional holdings in another (foreign) market
Performance
Period PSCU MMSC
30 Days 0.83% 0.24%
60 Days 3.53% 1.79%
90 Days 7.98% 10.15%
12 Months 22.58% 39.81%
1 Overlapping Holdings
Symbol Grade Weight in PSCU Weight in MMSC Overlap
QNST A 1.38% 0.23% 0.23%
PSCU Overweight 33 Positions Relative to MMSC
Symbol Grade Weight
LUMN A 8.83%
MSGS A 4.96%
IAC F 4.88%
CCOI B 4.66%
OTTR F 4.45%
MGEE C 4.43%
AWR C 4.16%
CNK A 4.13%
CWT D 4.1%
SATS B 4.09%
AVA D 4.01%
TDS B 3.81%
CARG B 3.72%
CPK C 3.65%
TGNA B 3.61%
YELP F 3.04%
CWEN C 2.9%
ZD F 2.8%
SJW F 2.27%
TRIP C 2.25%
CABO C 2.13%
NWN C 2.08%
MSEX B 1.52%
CARS D 1.29%
UTL D 1.26%
CWEN C 1.14%
TTGT C 1.04%
SSTK D 0.96%
SHEN F 0.92%
SCHL F 0.83%
THRY F 0.81%
GOGO F 0.58%
CNSL A 0.47%
PSCU Underweight 179 Positions Relative to MMSC
Symbol Grade Weight
AXON B -1.89%
CYBR C -1.67%
BRBR A -1.59%
SGBX F -1.41%
CRNX B -1.38%
VRNS D -1.37%
AAON A -1.26%
AVAV B -1.17%
PCVX C -1.14%
COHR B -1.12%
PLMR D -1.08%
MOD C -1.04%
FTI B -0.89%
KTOS C -0.89%
SFM A -0.85%
WING F -0.85%
HQY B -0.84%
MANH D -0.84%
GKOS B -0.84%
MNDY A -0.82%
BFAM C -0.81%
CW B -0.8%
RYAN C -0.79%
FRPT D -0.77%
CWAN B -0.76%
XENE C -0.75%
GWRE B -0.74%
EZPW B -0.73%
RBC D -0.73%
TTEK B -0.73%
FN B -0.71%
KNF A -0.7%
TMDX F -0.7%
LGND A -0.7%
NTRA B -0.69%
CVLT B -0.68%
EXEL A -0.65%
HEI D -0.63%
MMS D -0.63%
MKTX B -0.63%
SMTC B -0.62%
FCN F -0.62%
SPSC F -0.62%
ICFI B -0.62%
VSEC A -0.61%
CVNA A -0.61%
HALO B -0.6%
CRDO A -0.6%
ERJ C -0.6%
SUPN B -0.59%
MGY C -0.58%
VIRT A -0.56%
BCPC C -0.55%
VRT B -0.55%
WULF B -0.54%
ECPG D -0.54%
CR B -0.54%
FSS F -0.53%
PZZA A -0.53%
IBP F -0.53%
RVLV B -0.52%
ITRI A -0.51%
ONTO F -0.51%
PIPR B -0.51%
SITE F -0.51%
LTH D -0.5%
PSN A -0.5%
POWL A -0.49%
MTSI B -0.49%
SKY C -0.48%
FIX B -0.47%
NUVL D -0.47%
BROS B -0.47%
ITGR D -0.47%
STRL B -0.47%
RARE D -0.46%
WVE B -0.46%
MGNI D -0.45%
KYMR C -0.45%
RGEN D -0.44%
TREX B -0.44%
CRS B -0.43%
KNSL F -0.43%
AZEK C -0.42%
GLOB B -0.41%
EVR A -0.41%
ACHC F -0.41%
TBBK D -0.41%
HUBG D -0.4%
FLS A -0.4%
UEC B -0.4%
INTA B -0.4%
MEDP F -0.4%
MEG F -0.4%
WAL C -0.4%
NTNX B -0.39%
MRUS C -0.38%
TENB D -0.38%
ALSN A -0.38%
TECH B -0.38%
ASO F -0.37%
UPST B -0.37%
KMPR B -0.37%
GMED A -0.36%
SKWD B -0.36%
RBRK A -0.36%
S B -0.35%
NEOG D -0.34%
LASR A -0.33%
PSTG D -0.33%
KRNT C -0.33%
LNN C -0.33%
HSTM A -0.33%
ALTR B -0.33%
RNA C -0.32%
BLFS B -0.32%
ATI F -0.32%
AZTA F -0.32%
BMI D -0.32%
RXO B -0.32%
VERX B -0.32%
WIX B -0.32%
MOG.A C -0.32%
SITM B -0.31%
HCI B -0.31%
RYTM D -0.31%
AMRC C -0.3%
EME A -0.3%
ITCI A -0.3%
ALKT B -0.3%
POWI C -0.3%
PRO C -0.3%
TNDM F -0.3%
ICLR F -0.3%
TOST A -0.29%
COMP B -0.29%
BECN B -0.29%
BOOT D -0.29%
ASPN F -0.29%
FWRG B -0.28%
MAX D -0.28%
LNTH C -0.28%
LSCC C -0.28%
SDGR F -0.28%
IRTC C -0.28%
CIEN B -0.27%
AMBA B -0.27%
SLAB F -0.27%
KRYS C -0.26%
EWTX B -0.26%
CHEF D -0.26%
AIT A -0.26%
BWXT B -0.26%
CGNX B -0.26%
MTH D -0.25%
FIVE C -0.25%
ANF F -0.25%
RMBS C -0.25%
WHD B -0.24%
GNRC A -0.24%
SAIA A -0.24%
ESI A -0.24%
ROAD B -0.24%
ZETA C -0.23%
OLLI C -0.23%
QLYS F -0.21%
LAD A -0.21%
LRN A -0.19%
DNUT C -0.17%
BRZE F -0.17%
ENVX D -0.17%
PI C -0.17%
RXST D -0.17%
KFY C -0.15%
PODD A -0.14%
CELH F -0.12%
OSCR C -0.12%
INSM D -0.06%
CSWI B -0.06%
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