QDVO vs. SPHB ETF Comparison

Comparison of Amplify CWP Growth & Income ETF (QDVO) to PowerShares S&P 500 High Beta Portfolio (SPHB)
QDVO

Amplify CWP Growth & Income ETF

QDVO Description

Under normal circumstances, the fund invests at least 80% of its net assets (plus borrowings for investment purposes) in growth-oriented U.S. exchange-traded equity securities and will opportunistically utilize an "option strategy" consisting of writing U.S. exchange-traded call option contracts. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$27.01

Average Daily Volume

14,869

Number of Holdings *

41

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

PowerShares S&P 500 High Beta Portfolio

SPHB Description The PowerShares S&P 500 High Beta Portfolio (Fund) is based on the S&P 500 High Beta Index (Index). The Fund will invest at least 90% of its total assets in common stocks that comprise the Index. The Index is compiled, maintained and calculated by Standard & Poor's and consists of the 100 stocks from the S&P 500 Index with the highest sensitivity to market movements, or beta, over the past 12 months. Beta is a measure of relative risk and is the rate of change of a security's price. The Fund and the Index are rebalanced and reconstituted quarterly in February, May, August and November.

Grade (RS Rating)

Last Trade

$94.26

Average Daily Volume

224,294

Number of Holdings *

97

* may have additional holdings in another (foreign) market
Performance
Period QDVO SPHB
30 Days 6.17% 4.79%
60 Days 7.75% 5.15%
90 Days 9.57% 6.95%
12 Months 29.95%
12 Overlapping Holdings
Symbol Grade Weight in QDVO Weight in SPHB Overlap
ADBE C 0.71% 0.8% 0.71%
AMD F 1.17% 1.52% 1.17%
AMZN C 6.12% 1.09% 1.09%
AVGO D 3.05% 1.56% 1.56%
INTU C 0.75% 0.92% 0.75%
ISRG A 0.88% 0.89% 0.88%
META D 4.93% 1.21% 1.21%
MPWR F 0.56% 1.1% 0.56%
NVDA C 10.33% 2.08% 2.08%
ORCL B 1.56% 1.17% 1.17%
QCOM F 0.45% 1.07% 0.45%
TSLA B 4.02% 1.93% 1.93%
QDVO Overweight 29 Positions Relative to SPHB
Symbol Grade Weight
AAPL C 8.67%
MSFT F 8.16%
GOOGL C 5.25%
NFLX A 2.83%
ALL A 2.15%
UNH C 2.09%
COR B 1.97%
PG A 1.92%
NTRA B 1.89%
LMT D 1.86%
TMUS B 1.84%
HD A 1.84%
AMGN D 1.81%
SPOT B 1.81%
TRGP B 1.69%
CL D 1.68%
FIX A 1.66%
IRM D 1.48%
LLY F 1.45%
V A 1.44%
LIN D 1.32%
COST B 1.25%
BURL A 1.2%
EQIX A 1.14%
MSTR C 0.96%
COIN C 0.78%
EA A 0.74%
PEP F 0.64%
TPL A 0.57%
QDVO Underweight 85 Positions Relative to SPHB
Symbol Grade Weight
NCLH B -1.63%
CCL B -1.63%
CRWD B -1.6%
UAL A -1.57%
ALB C -1.51%
VST B -1.4%
BLDR D -1.39%
GNRC B -1.37%
ANET C -1.36%
RCL A -1.25%
CZR F -1.25%
URI B -1.25%
AMAT F -1.22%
BX A -1.22%
LRCX F -1.21%
MU D -1.2%
TER D -1.18%
CDNS B -1.18%
KKR A -1.17%
PWR A -1.16%
DAY B -1.16%
ON D -1.15%
NOW A -1.12%
SNPS B -1.11%
CRM B -1.1%
KLAC D -1.09%
JBL B -1.09%
ETN A -1.07%
PYPL B -1.07%
ADSK A -1.06%
PANW C -1.04%
ALGN D -1.03%
WDC D -1.03%
BKNG A -1.02%
ABNB C -1.02%
PODD C -1.02%
CEG D -1.01%
FICO B -1.0%
BXP D -1.0%
PH A -0.99%
LW C -0.99%
INTC D -0.99%
NXPI D -0.98%
ZBRA B -0.97%
HUBB B -0.97%
LULU C -0.96%
UBER D -0.95%
CARR D -0.95%
MCHP D -0.93%
KEYS A -0.92%
DECK A -0.92%
KEY B -0.92%
WBD C -0.88%
ROK B -0.86%
PHM D -0.85%
APH A -0.85%
ADI D -0.85%
ANSS B -0.84%
GOOG C -0.84%
FSLR F -0.83%
TROW B -0.82%
FCX D -0.81%
SMCI F -0.81%
EPAM C -0.8%
IVZ B -0.8%
CPRT A -0.79%
KMX B -0.79%
GE D -0.78%
CRL C -0.77%
RMD C -0.76%
MHK D -0.76%
SWKS F -0.76%
TXN C -0.76%
ARE D -0.75%
MGM D -0.75%
LEN D -0.75%
EFX F -0.73%
MLM B -0.73%
DHI D -0.71%
IDXX F -0.69%
ENPH F -0.69%
IQV D -0.62%
AES F -0.61%
APTV D -0.58%
QRVO F -0.56%
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