QCLR vs. IETC ETF Comparison

Comparison of Global X NASDAQ 100 Collar 95-110 ETF (QCLR) to iShares Evolved U.S. Technology ETF (IETC)
QCLR

Global X NASDAQ 100 Collar 95-110 ETF

QCLR Description

Global X Funds - Global X NASDAQ 100 Collar 95-110 ETF is an exchange traded fund launched and managed by Global X Management Company LLC. The fund invests in the public equity markets of the United States. It takes long and short positions to invest directly and through derivatives such as options in stocks of companies operating across non-financial companies sectors. The fund invests in growth and value stocks of large-cap companies. It seeks to track the performance of the Nasdaq-100 Quarterly Collar 95-110 Index, by using full replication technique. Global X Funds - Global X NASDAQ 100 Collar 95-110 ETF was formed on August 25, 2021 and is domiciled in the United States.

Grade (RS Rating)

Last Trade

$31.27

Average Daily Volume

223

Number of Holdings *

101

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

iShares Evolved U.S. Technology ETF

IETC Description The investment seeks to provide access to U.S. companies with technology exposure, as classified using a proprietary classification system. The fund seeks to achieve its investment objective by investing, under normal circumstances, at least 80% of its net assets in U.S. listed common stock of large-, mid- and small-capitalization technology companies. It will hold common stock of those companies that fall into the Technology Evolved Sector which have economic characteristics that have been historically correlated with companies traditionally defined as technology companies. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$82.92

Average Daily Volume

19,352

Number of Holdings *

117

* may have additional holdings in another (foreign) market
Performance
Period QCLR IETC
30 Days 3.00% 3.33%
60 Days 5.78% 8.44%
90 Days 5.06% 13.49%
12 Months 25.69% 43.11%
36 Overlapping Holdings
Symbol Grade Weight in QCLR Weight in IETC Overlap
AAPL C 8.48% 2.45% 2.45%
ABNB C 0.41% 0.7% 0.41%
ADBE C 1.41% 1.13% 1.13%
ADP A 0.79% 0.07% 0.07%
ADSK B 0.41% 0.7% 0.41%
AMD F 1.53% 0.74% 0.74%
AMZN A 5.41% 7.83% 5.41%
ANSS B 0.19% 0.39% 0.19%
AVGO C 5.4% 12.54% 5.4%
CDNS B 0.51% 1.83% 0.51%
CDW F 0.17% 0.63% 0.17%
CRWD B 0.47% 0.31% 0.31%
CSCO A 1.48% 1.85% 1.48%
CSGP F 0.19% 0.39% 0.19%
DASH A 0.41% 0.2% 0.2%
DDOG B 0.25% 0.16% 0.16%
EA A 0.26% 0.12% 0.12%
FTNT B 0.4% 1.07% 0.4%
GOOG C 2.49% 1.44% 1.44%
GOOGL C 2.6% 2.35% 2.35%
ILMN C 0.15% 0.06% 0.06%
INTU A 1.18% 0.06% 0.06%
KLAC F 0.58% 0.37% 0.37%
LRCX F 0.65% 0.17% 0.17%
META B 5.03% 1.84% 1.84%
MSFT C 7.74% 7.68% 7.68%
MU D 0.79% 0.43% 0.43%
NVDA A 8.95% 8.67% 8.67%
PANW B 0.8% 0.79% 0.79%
QCOM F 1.21% 1.41% 1.21%
SNPS C 0.55% 0.19% 0.19%
TEAM B 0.24% 0.77% 0.24%
TTD B 0.37% 0.62% 0.37%
TXN B 1.25% 0.31% 0.31%
VRSK A 0.25% 0.64% 0.25%
WDAY B 0.34% 0.63% 0.34%
QCLR Overweight 65 Positions Relative to IETC
Symbol Grade Weight
TSLA B 3.52%
COST B 2.58%
NFLX A 2.16%
TMUS A 1.71%
PEP D 1.42%
LIN D 1.41%
ISRG A 1.17%
AMGN F 1.1%
CMCSA B 1.08%
BKNG A 1.05%
AMAT F 1.02%
HON B 0.9%
VRTX B 0.83%
GILD B 0.77%
INTC C 0.71%
ADI D 0.71%
SBUX B 0.7%
MELI D 0.57%
REGN F 0.57%
MDLZ F 0.56%
CTAS B 0.56%
PDD F 0.53%
PYPL A 0.52%
MRVL B 0.51%
MAR A 0.5%
CEG D 0.49%
ORLY A 0.45%
CSX B 0.43%
ROP A 0.4%
ASML D 0.4%
NXPI F 0.39%
PCAR B 0.37%
CHTR B 0.36%
CPRT A 0.34%
FANG C 0.34%
PAYX B 0.33%
MNST B 0.33%
AEP D 0.32%
ODFL B 0.31%
FAST B 0.3%
ROST D 0.29%
KDP C 0.28%
BKR B 0.27%
KHC F 0.25%
MCHP F 0.25%
CTSH A 0.25%
GEHC D 0.25%
EXC C 0.24%
IDXX F 0.23%
XEL A 0.23%
AZN F 0.23%
LULU B 0.23%
CCEP C 0.22%
ZS B 0.19%
TTWO A 0.19%
ON F 0.19%
DXCM C 0.17%
BIIB F 0.16%
GFS C 0.15%
MDB C 0.14%
WBD B 0.14%
MRNA F 0.12%
ARM D 0.11%
SMCI F 0.09%
DLTR F 0.08%
QCLR Underweight 81 Positions Relative to IETC
Symbol Grade Weight
ACN B -4.18%
CRM B -3.55%
ORCL A -3.33%
MSI B -2.32%
NOW A -2.03%
VRSN C -2.0%
IBM D -1.97%
ICE C -1.68%
MANH C -1.26%
GPN B -1.07%
PH A -0.96%
MA B -0.95%
NTAP D -0.79%
EQIX B -0.78%
SSNC C -0.72%
MPWR F -0.72%
ANET C -0.64%
TYL B -0.64%
IT B -0.62%
ZM B -0.58%
PLTR B -0.52%
LMT D -0.43%
MCO C -0.34%
FDS A -0.3%
G B -0.29%
TTEK F -0.26%
UBER F -0.25%
BAH C -0.25%
MSTR B -0.2%
COIN B -0.2%
KEYS C -0.19%
MMC D -0.19%
BSY F -0.18%
SQ B -0.18%
CACI C -0.18%
TRU D -0.18%
AKAM F -0.17%
PINS F -0.16%
SWKS F -0.15%
QLYS B -0.15%
IQV F -0.14%
MSCI B -0.12%
HUBS B -0.12%
VEEV B -0.11%
IPG F -0.11%
NSIT F -0.11%
IRM D -0.1%
TER F -0.1%
NDAQ B -0.09%
VRT B -0.09%
SLB C -0.09%
FBIN F -0.08%
SNAP C -0.08%
CFLT B -0.08%
JNPR D -0.07%
CPNG B -0.07%
CBOE D -0.07%
BBY C -0.07%
QRVO F -0.07%
ROK B -0.07%
TDY B -0.06%
LPLA A -0.06%
SLAB F -0.06%
DELL C -0.06%
SAIC D -0.06%
DOCN C -0.05%
CPAY A -0.05%
MMS F -0.05%
GLW B -0.04%
APPN C -0.04%
CL F -0.04%
DXC B -0.04%
ENPH F -0.03%
BILL B -0.03%
ZI C -0.02%
XYL F -0.02%
RIVN F -0.01%
GDDY B -0.01%
ALGN D -0.0%
GRAL B -0.0%
FTV C -0.0%
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