PTEC vs. JDOC ETF Comparison

Comparison of Global X PropTech ETF (PTEC) to JPMorgan Healthcare Leaders ETF (JDOC)
PTEC

Global X PropTech ETF

PTEC Description

The fund invests at least 80% of its net assets, plus borrowings for investments purposes (if any), in the securities of the Global X PropTech Index, which may include common stocks, American Depositary Receipts (ADRs) and Global Depositary Receipts (GDRs) based on the securities in the underlying index. The underlying index is owned and was developed by Global X Management Company LLC, an affiliate of the fund and the fund's investment adviser. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$34.84

Average Daily Volume

86

Number of Holdings *

17

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

JPMorgan Healthcare Leaders ETF

JDOC Description The fund will invest primarily in equity securities issued by pharmaceutical, biotechnology, healthcare services, healthcare technology, medical technology and life sciences companies which the adviser believes are leaders and where the magnitude and/or duration of future growth for these companies is underappreciated by the market. Under normal circumstances, the fund invests at least 80% of its assets in the equity securities of healthcare companies.

Grade (RS Rating)

Last Trade

$55.55

Average Daily Volume

603

Number of Holdings *

44

* may have additional holdings in another (foreign) market
Performance
Period PTEC JDOC
30 Days 3.34% -6.85%
60 Days 5.85% -9.62%
90 Days 11.80% -11.25%
12 Months 32.86% 10.34%
0 Overlapping Holdings
Symbol Grade Weight in PTEC Weight in JDOC Overlap
PTEC Overweight 17 Positions Relative to JDOC
Symbol Grade Weight
Z A 9.83%
GWRE A 9.36%
BEKE C 9.22%
ABNB C 8.2%
CSGP C 7.18%
PCOR C 4.96%
REZI A 4.39%
APPF C 4.24%
ADTN B 3.77%
ALRM C 3.43%
RKT F 1.98%
ARLO C 1.26%
OPEN F 1.19%
BLND A 0.96%
UWMC D 0.59%
PRCH B 0.27%
ANGI F 0.14%
PTEC Underweight 44 Positions Relative to JDOC
Symbol Grade Weight
LLY F -8.8%
UNH B -8.71%
TMO D -4.58%
ABBV F -4.17%
DHR D -3.86%
BSX A -3.46%
REGN F -3.18%
MCK A -2.94%
SYK A -2.77%
BMY B -2.76%
VRTX D -2.69%
MDT D -2.54%
CI D -2.46%
JNJ D -2.36%
ISRG A -1.65%
HCA F -1.62%
MRK F -1.6%
IQV F -1.19%
WST C -1.0%
EXAS D -0.9%
NTRA A -0.85%
CNC F -0.83%
DXCM C -0.81%
AGIO C -0.79%
HALO F -0.78%
ITCI B -0.77%
NBIX C -0.76%
AMGN D -0.71%
INSP F -0.69%
HUM C -0.69%
BPMC C -0.6%
SRPT F -0.59%
RVMD B -0.56%
NVS D -0.55%
BMRN F -0.55%
TWST F -0.52%
BIIB F -0.46%
IRTC C -0.42%
ACHC F -0.41%
ALNY D -0.38%
APLS F -0.33%
ARVN F -0.28%
EVH F -0.26%
IDXX F -0.2%
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