PWS vs. OND ETF Comparison

Comparison of Pacer WealthShield ETF (PWS) to ProShares On-Demand ETF (OND)
PWS

Pacer WealthShield ETF

PWS Description

The investment seeks to track the total return performance, before fees and expenses, of the Pacer WealthShield Index. Under normal circumstances, at least 80% of the fund's total assets (exclusive of collateral held from securities lending) will be invested in (i) the component securities of the index or (ii) ETFs that seek to track the performance of some or all of the component securities of the index in the same approximate weight as such component securities. The index utilizes a systematic risk management strategy that directs the index's exposure to U.S. equity securities, U.S. Treasury securities, or a mix of each. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$31.23

Average Daily Volume

1,845

Number of Holdings *

217

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

ProShares On-Demand ETF

OND Description ProShares On-Demand ETF is an exchange traded fund launched and managed by ProShare Advisors LLC. The fund invests in the public equity markets across the globe. It invests in the stocks of companies that provide on-demand platforms and services to consumers such as console games software, fitness and exercise equipment, food delivery services, general entertainment content providers and sites, handheld and smart phone games software, home and office virtual reality software, media download and streaming digital content sites, mobile platform applications software, multi-type passenger transportation, online game websites and software, other games software, other media equipment manufacturing, video multimedia semiconductors, virtual reality design and engineering software and virtual reality equipment sectors. The fund invests in growth and value stocks of companies across diversified market capitalizations. It seeks to track the performance of the FactSet On-Demand Index, by using full replication technique. ProShares On-Demand ETF was formed on October 26, 2021 and is domiciled in the United States.

Grade (RS Rating)

Last Trade

$34.33

Average Daily Volume

405

Number of Holdings *

14

* may have additional holdings in another (foreign) market
Performance
Period PWS OND
30 Days 4.72% 4.81%
60 Days -1.94% 10.95%
90 Days 1.22% 17.53%
12 Months 21.11% 41.18%
2 Overlapping Holdings
Symbol Grade Weight in PWS Weight in OND Overlap
AMD F 0.27% 3.15% 0.27%
NVDA C 4.4% 4.4% 4.4%
PWS Overweight 215 Positions Relative to OND
Symbol Grade Weight
AMZN C 7.58%
AAPL C 4.27%
TSLA B 3.8%
MSFT F 3.79%
COST B 2.9%
PG A 2.84%
WMT A 2.67%
NEE D 2.58%
PLD D 1.88%
KO D 1.72%
AMT D 1.66%
HD A 1.59%
SO D 1.57%
PEP F 1.54%
EQIX A 1.54%
PM B 1.43%
DUK C 1.43%
WELL A 1.41%
CEG D 1.2%
DLR B 1.01%
SPG B 0.98%
SRE A 0.96%
PSA D 0.93%
AVGO D 0.93%
O D 0.88%
VST B 0.87%
MCD D 0.84%
AEP D 0.84%
CCI D 0.8%
D C 0.79%
PEG A 0.74%
PCG A 0.74%
CBRE B 0.7%
MO A 0.68%
BKNG A 0.68%
XEL A 0.64%
EXC C 0.63%
EXR D 0.62%
MDLZ F 0.61%
VICI C 0.6%
LOW D 0.6%
IRM D 0.6%
AVB B 0.57%
CSGP D 0.55%
ED D 0.55%
CL D 0.54%
TJX A 0.54%
EIX B 0.54%
ETR B 0.53%
WEC A 0.51%
VTR C 0.47%
EQR B 0.45%
SBUX A 0.45%
AWK D 0.44%
SBAC D 0.42%
PPL B 0.41%
DTE C 0.41%
TGT F 0.4%
AEE A 0.4%
CRM B 0.39%
WY D 0.39%
ORCL B 0.37%
ATO A 0.37%
ES D 0.36%
FE C 0.35%
NKE D 0.35%
INVH D 0.34%
ESS B 0.34%
MAA B 0.33%
CNP B 0.33%
CMS C 0.33%
NRG B 0.32%
KVUE A 0.32%
CMG B 0.32%
KMB D 0.32%
KIM A 0.3%
ARE D 0.29%
ORLY B 0.28%
CSCO B 0.28%
KR B 0.27%
ADBE C 0.27%
NI A 0.27%
ACN C 0.27%
KDP D 0.26%
LNT A 0.26%
MAR B 0.26%
NOW A 0.26%
STZ D 0.26%
DOC D 0.26%
MNST C 0.26%
GIS D 0.25%
SYY B 0.25%
ABNB C 0.24%
EVRG A 0.24%
IBM C 0.24%
GM B 0.24%
HLT A 0.24%
UDR B 0.23%
TXN C 0.22%
INTU C 0.22%
RCL A 0.22%
CPT B 0.22%
QCOM F 0.21%
AZO C 0.21%
REG B 0.21%
HST C 0.21%
BXP D 0.2%
DHI D 0.19%
CHD B 0.19%
KHC F 0.19%
ADM D 0.18%
HSY F 0.18%
ROST C 0.18%
F C 0.17%
PNW B 0.17%
AMAT F 0.17%
LEN D 0.16%
CLX B 0.15%
YUM B 0.15%
FRT B 0.15%
K A 0.15%
PLTR B 0.15%
AES F 0.15%
PANW C 0.15%
MKC D 0.14%
LULU C 0.14%
GRMN B 0.13%
TSN B 0.13%
ADI D 0.13%
MU D 0.13%
TSCO D 0.12%
EBAY D 0.12%
ANET C 0.12%
INTC D 0.12%
PHM D 0.11%
DECK A 0.11%
EL F 0.11%
LRCX F 0.11%
DG F 0.11%
CRWD B 0.1%
SNPS B 0.1%
CCL B 0.1%
MSI B 0.1%
KLAC D 0.1%
CDNS B 0.1%
APH A 0.1%
BG F 0.09%
EXPE B 0.09%
DLTR F 0.09%
NVR D 0.09%
CAG D 0.09%
DRI B 0.08%
LW C 0.08%
ADSK A 0.08%
SJM D 0.08%
ULTA F 0.07%
GPC D 0.07%
BBY D 0.07%
NXPI D 0.07%
FICO B 0.07%
LVS C 0.07%
ROP B 0.07%
FTNT C 0.07%
TAP C 0.07%
APTV D 0.06%
CPB D 0.06%
DPZ C 0.06%
HRL D 0.06%
NCLH B 0.05%
DELL C 0.05%
CTSH B 0.05%
KMX B 0.05%
IT C 0.05%
TPR B 0.05%
POOL C 0.05%
KEYS A 0.04%
ANSS B 0.04%
LKQ D 0.04%
WBA F 0.04%
MCHP D 0.04%
HPQ B 0.04%
GLW B 0.04%
WDC D 0.03%
TDY B 0.03%
PTC A 0.03%
MHK D 0.03%
CDW F 0.03%
TYL B 0.03%
BWA D 0.03%
NTAP C 0.03%
HAS D 0.03%
GDDY A 0.03%
CZR F 0.03%
RL B 0.03%
HPE B 0.03%
MPWR F 0.03%
WYNN D 0.03%
MGM D 0.03%
ON D 0.03%
SMCI F 0.02%
SWKS F 0.02%
AKAM D 0.02%
EPAM C 0.02%
FFIV B 0.02%
JBL B 0.02%
VRSN F 0.02%
GEN B 0.02%
TER D 0.02%
TRMB B 0.02%
FSLR F 0.02%
ZBRA B 0.02%
STX D 0.02%
QRVO F 0.01%
ENPH F 0.01%
JNPR F 0.01%
PWS Underweight 12 Positions Relative to OND
Symbol Grade Weight
DASH A -5.79%
SPOT B -5.58%
RBLX C -5.41%
GRAB B -5.13%
NFLX A -5.0%
EA A -4.53%
TTWO A -4.21%
LYFT C -4.19%
UBER D -3.78%
BILI D -3.73%
SNAP C -2.56%
AMBA B -1.57%
Compare ETFs