QMID vs. FCFY ETF Comparison

Comparison of WisdomTree U.S. MidCap Quality Growth Fund (QMID) to First Trust S&P 500 Diversified Free Cash Flow ETF (FCFY)
QMID

WisdomTree U.S. MidCap Quality Growth Fund

QMID Description

Under normal circumstances, the fund invests at least 80% of its net assets in the constituent securities of its index, each of which is a security issued by a mid-cap company, identified in accordance with the index provider"s market-capitalization selection parameters, that is incorporated and headquartered in the United States.

Grade (RS Rating)

Last Trade

$28.26

Average Daily Volume

353

Number of Holdings *

120

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

First Trust S&P 500 Diversified Free Cash Flow ETF

FCFY Description Under normal conditions, the fund will invest at least 80% of its net assets in the securities that comprise the index. The index measures the performance of companies within the S&P 500® Index that have the highest relative FCF Yield within each GICS® sector represented in the S&P 500® Index. It is non-diversified.

Grade (RS Rating)

Last Trade

$24.62

Average Daily Volume

269

Number of Holdings *

101

* may have additional holdings in another (foreign) market
Performance
Period QMID FCFY
30 Days 0.42% -0.93%
60 Days 5.21% 2.73%
90 Days 6.56% 5.05%
12 Months 22.90%
3 Overlapping Holdings
Symbol Grade Weight in QMID Weight in FCFY Overlap
EPAM B 1.35% 2.39% 1.35%
GNRC B 1.08% 0.56% 0.56%
MTCH F 0.74% 1.7% 0.74%
QMID Overweight 117 Positions Relative to FCFY
Symbol Grade Weight
UI A 1.83%
PODD A 1.67%
UTHR B 1.6%
DOCU A 1.54%
COHR B 1.5%
FIX A 1.44%
CASY B 1.41%
TOL B 1.41%
CHWY B 1.29%
CLH C 1.27%
PFGC B 1.26%
LBRDK B 1.25%
PAYC B 1.21%
TXRH A 1.2%
JKHY D 1.17%
TTEK D 1.16%
HLI A 1.16%
SAIA B 1.15%
PCTY B 1.11%
COKE C 1.1%
MGM D 1.09%
TECH D 1.08%
BJ B 1.08%
EVR A 1.08%
LW C 1.07%
LECO C 1.04%
KNSL C 1.02%
AAON A 1.01%
MEDP D 1.0%
SIRI C 1.0%
MUSA A 0.98%
WCC A 0.98%
FND F 0.97%
LAD A 0.96%
MLI B 0.95%
CRL D 0.95%
CHDN C 0.95%
MKTX C 0.94%
EXEL B 0.93%
ALSN B 0.93%
EXP B 0.93%
TPX A 0.89%
TKO C 0.88%
DBX C 0.86%
SKX D 0.84%
WING F 0.84%
PEN B 0.83%
BRBR A 0.82%
CNM F 0.82%
TTC D 0.81%
GPK D 0.8%
ENSG D 0.78%
PR C 0.77%
APPF C 0.76%
BRKR F 0.76%
UFPI C 0.76%
DINO D 0.76%
TREX C 0.75%
CHE D 0.74%
APA F 0.74%
ONTO F 0.73%
RLI A 0.73%
OLED F 0.72%
SSD D 0.72%
MTDR C 0.72%
HLNE A 0.71%
TMHC B 0.71%
EXLS B 0.69%
SAIC D 0.69%
HALO D 0.68%
DAR B 0.68%
SITE D 0.67%
CMC B 0.65%
CHH A 0.65%
OMF A 0.65%
LSTR D 0.64%
AM A 0.64%
BYD A 0.64%
WSC F 0.63%
SPSC D 0.63%
LSCC D 0.63%
ELF C 0.63%
AN D 0.62%
MTH D 0.6%
BMI B 0.6%
DDS B 0.59%
AGCO D 0.59%
VNT C 0.58%
CROX F 0.58%
KBH D 0.57%
AMKR F 0.57%
COOP B 0.57%
CLF F 0.57%
THO B 0.55%
MGY A 0.54%
CHRD F 0.54%
ETSY D 0.54%
NXST D 0.53%
ABG A 0.53%
BCC B 0.52%
LNTH F 0.51%
IBP F 0.51%
DY C 0.49%
CRUS F 0.48%
SM C 0.48%
OLN F 0.47%
EXPO D 0.47%
TNET F 0.46%
FIVE F 0.46%
QLYS C 0.44%
CIVI F 0.43%
ZI D 0.36%
OPCH F 0.34%
PBF D 0.34%
ALGM F 0.33%
ATKR C 0.25%
NFE F 0.1%
QMID Underweight 98 Positions Relative to FCFY
Symbol Grade Weight
WBD B -3.78%
GEN B -3.1%
SWKS F -2.98%
HPQ B -2.87%
HPE B -2.76%
JBL C -2.37%
SYF A -2.37%
QCOM F -2.18%
FFIV B -2.08%
NTAP D -1.81%
T A -1.8%
EXPE A -1.77%
CAH B -1.66%
CSCO B -1.66%
COF A -1.65%
IPG F -1.64%
QRVO F -1.57%
IBM D -1.49%
NRG B -1.48%
TPR A -1.46%
AKAM F -1.39%
LEN D -1.3%
COR B -1.25%
BMY B -1.23%
DFS A -1.18%
SOLV C -1.11%
RL B -1.05%
SNA A -1.01%
FIS B -1.01%
VTRS A -0.94%
NTRS A -0.93%
MO A -0.91%
TAP A -0.9%
MET A -0.87%
ABNB C -0.85%
ADM D -0.85%
VLO C -0.85%
CI D -0.84%
WFC A -0.83%
GILD B -0.82%
PRU A -0.79%
MCK A -0.78%
IVZ B -0.77%
EG D -0.76%
BWA A -0.76%
HAS D -0.72%
HOLX D -0.71%
CFG A -0.71%
BBY C -0.71%
TFC A -0.71%
MHK D -0.67%
LDOS C -0.66%
MPC D -0.66%
CNC F -0.65%
JNJ D -0.64%
TGT D -0.64%
BG D -0.63%
CAG F -0.63%
NUE D -0.62%
DVA C -0.61%
BLDR D -0.6%
PCAR B -0.6%
DVN F -0.59%
APTV F -0.59%
MRO A -0.58%
MMM D -0.58%
HBAN A -0.57%
BIIB F -0.55%
J D -0.54%
BEN C -0.52%
KMB C -0.52%
WAB B -0.5%
MAS D -0.5%
AME A -0.49%
GIS D -0.48%
CAT B -0.47%
VST A -0.47%
HAL C -0.46%
TXT D -0.45%
LMT D -0.45%
FTV D -0.45%
ACGL C -0.44%
EXPD D -0.43%
SPG A -0.39%
SWK F -0.39%
LYB F -0.38%
SW A -0.37%
BXP D -0.37%
NEE C -0.37%
HST D -0.35%
ARE D -0.35%
STLD B -0.31%
VICI C -0.31%
WEC A -0.27%
PPG F -0.26%
O D -0.25%
DOC D -0.25%
CE F -0.17%
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