QMID vs. TSME ETF Comparison

Comparison of WisdomTree U.S. MidCap Quality Growth Fund (QMID) to Thrivent Small-Mid Cap ESG ETF (TSME)
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

$29.46

Average Daily Volume

408

Number of Holdings *

120

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

Thrivent Small-Mid Cap ESG ETF

TSME Description Thrivent Small-Mid Cap ESG ETF is an exchange traded fund launched and managed by Thrivent Asset Management, LLC. It invests in public equity markets of the United States. It invests in stocks of companies operating across diversified sectors. It invests in growth and value stocks of companies across diversified market capitalization, within the market capitalization range of the Russell 2500 Index or the S&P MidCap Index. It invests in stocks of companies that are deemed socially conscious in their business dealings and directly promote environmental responsibility. It employs fundamental and quantitative analysis to create its portfolio. Thrivent Small-Mid Cap ESG ETF is domiciled in the United States.

Grade (RS Rating)

Last Trade

$39.80

Average Daily Volume

57,121

Number of Holdings *

62

* may have additional holdings in another (foreign) market
Performance
Period QMID TSME
30 Days 7.22% 8.77%
60 Days 7.01% 9.31%
90 Days 7.88% 12.30%
12 Months 42.14%
10 Overlapping Holdings
Symbol Grade Weight in QMID Weight in TSME Overlap
CNM D 0.82% 1.47% 0.82%
COHR B 1.5% 1.06% 1.06%
DAR C 0.68% 1.09% 0.68%
IBP D 0.51% 1.03% 0.51%
KNSL B 1.02% 1.14% 1.02%
LSCC D 0.63% 0.64% 0.63%
OMF A 0.65% 1.62% 0.65%
SAIA B 1.15% 1.49% 1.15%
TECH D 1.08% 1.75% 1.08%
WCC B 0.98% 1.4% 0.98%
QMID Overweight 110 Positions Relative to TSME
Symbol Grade Weight
UI A 1.83%
PODD C 1.67%
UTHR C 1.6%
DOCU A 1.54%
FIX A 1.44%
CASY A 1.41%
TOL B 1.41%
EPAM C 1.35%
CHWY B 1.29%
CLH B 1.27%
PFGC B 1.26%
LBRDK C 1.25%
PAYC B 1.21%
TXRH C 1.2%
JKHY D 1.17%
TTEK F 1.16%
HLI B 1.16%
PCTY B 1.11%
COKE C 1.1%
MGM D 1.09%
BJ A 1.08%
GNRC B 1.08%
EVR B 1.08%
LW C 1.07%
LECO B 1.04%
AAON B 1.01%
MEDP D 1.0%
SIRI C 1.0%
MUSA A 0.98%
FND C 0.97%
LAD A 0.96%
MLI C 0.95%
CRL C 0.95%
CHDN B 0.95%
MKTX D 0.94%
EXEL B 0.93%
ALSN B 0.93%
EXP A 0.93%
TPX B 0.89%
TKO B 0.88%
DBX B 0.86%
SKX D 0.84%
WING D 0.84%
PEN B 0.83%
BRBR A 0.82%
TTC D 0.81%
GPK C 0.8%
ENSG D 0.78%
PR B 0.77%
APPF B 0.76%
BRKR D 0.76%
UFPI B 0.76%
DINO D 0.76%
TREX C 0.75%
CHE D 0.74%
APA D 0.74%
MTCH D 0.74%
ONTO D 0.73%
RLI B 0.73%
OLED D 0.72%
SSD D 0.72%
MTDR B 0.72%
HLNE B 0.71%
TMHC B 0.71%
EXLS B 0.69%
SAIC F 0.69%
HALO F 0.68%
SITE D 0.67%
CMC B 0.65%
CHH A 0.65%
LSTR D 0.64%
AM A 0.64%
BYD C 0.64%
WSC D 0.63%
SPSC C 0.63%
ELF C 0.63%
AN C 0.62%
MTH D 0.6%
BMI B 0.6%
DDS B 0.59%
AGCO D 0.59%
VNT B 0.58%
CROX D 0.58%
KBH D 0.57%
AMKR D 0.57%
COOP B 0.57%
CLF F 0.57%
THO B 0.55%
MGY A 0.54%
CHRD D 0.54%
ETSY D 0.54%
NXST C 0.53%
ABG B 0.53%
BCC B 0.52%
LNTH D 0.51%
DY D 0.49%
CRUS D 0.48%
SM B 0.48%
OLN D 0.47%
EXPO D 0.47%
TNET D 0.46%
FIVE F 0.46%
QLYS C 0.44%
CIVI D 0.43%
ZI D 0.36%
OPCH D 0.34%
PBF D 0.34%
ALGM D 0.33%
ATKR C 0.25%
NFE D 0.1%
QMID Underweight 52 Positions Relative to TSME
Symbol Grade Weight
FICO B -2.17%
NVR D -2.1%
TKR D -2.09%
NSIT F -2.08%
SN D -2.03%
LH C -1.97%
BANR B -1.85%
NVT B -1.84%
MOD A -1.82%
TSCO D -1.8%
EFSC B -1.79%
RRX B -1.77%
PATK D -1.77%
PWR A -1.77%
SKY A -1.73%
LFUS F -1.73%
WH B -1.72%
GTES A -1.72%
TPG A -1.7%
NI A -1.7%
ZBRA B -1.65%
FNB A -1.65%
TRU D -1.63%
SNV B -1.61%
STLD B -1.59%
RJF A -1.56%
CECO A -1.55%
ESI A -1.54%
BELFB C -1.54%
TFIN A -1.52%
EMN D -1.47%
LMB A -1.46%
B B -1.45%
WMS D -1.45%
KD B -1.45%
FTI A -1.44%
ICLR D -1.44%
NSA D -1.42%
ASGN F -1.41%
REXR F -1.39%
EXR D -1.37%
SUM B -1.33%
GO C -1.21%
ACGL D -1.21%
GPI A -1.21%
ALGN D -1.2%
ENTG D -1.16%
NGVT B -1.12%
HAE C -1.05%
COTY F -1.03%
PGNY F -0.94%
MRVI F -0.94%
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