QVAL vs. TVAL ETF Comparison

Comparison of ValueShares U.S. Quantitative Value ETF (QVAL) to T. Rowe Price Exchange-Traded Funds, Inc. T. Rowe Price Value ETF (TVAL)
QVAL

ValueShares U.S. Quantitative Value ETF

QVAL Description

The investment seeks long-term capital appreciation. The fund is an actively managed ETF. Under normal circumstances, it seeks to achieve its investment objective by investing primarily in U.S. equity securities that the Adviser believes, based on quantitative analysis, are undervalued at the time of purchase and have the potential for capital appreciation. The fund will invest at least 80% of its net assets, plus any borrowings for investment purposes, in securities of U.S. companies. It will invest primarily in the exchange-listed common stock of U.S. companies. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$46.14

Average Daily Volume

18,767

Number of Holdings *

50

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

T. Rowe Price Exchange-Traded Funds, Inc. T. Rowe Price Value ETF

TVAL Description The fund will invest primarily in U.S. equity securities. In taking a value approach to investment selection, the adviser seeks to identify companies that appear to be undervalued by various measures, and may be temporarily out of favor, but have good prospects for capital appreciation. Some of the principal measures used to identify such stocks are: price/earnings ratio, price/book value ratio, price/sales ratio, dividend yield, price/cash flow, undervalued assets, and restructuring opportunities. The fund may purchase the stocks of companies of any size, but typically focuses on larger companies.

Grade (RS Rating)

Last Trade

$32.91

Average Daily Volume

12,620

Number of Holdings *

144

* may have additional holdings in another (foreign) market
Performance
Period QVAL TVAL
30 Days 1.96% 2.08%
60 Days 1.90% 3.98%
90 Days 3.12% 5.24%
12 Months 25.13% 28.36%
8 Overlapping Holdings
Symbol Grade Weight in QVAL Weight in TVAL Overlap
BKR A 2.26% 0.35% 0.35%
CAT B 1.97% 0.3% 0.3%
CMCSA B 1.99% 0.46% 0.46%
CVS D 1.95% 0.23% 0.23%
ELV F 1.9% 1.81% 1.81%
LEN D 1.92% 0.42% 0.42%
MOH F 1.76% 0.28% 0.28%
UAL A 2.22% 0.31% 0.31%
QVAL Overweight 42 Positions Relative to TVAL
Symbol Grade Weight
TPR B 2.28%
MO A 2.19%
TAP C 2.18%
FTI A 2.15%
ALSN B 2.14%
HES B 2.14%
FOXA A 2.12%
LRN A 2.12%
GTES A 2.11%
DAL B 2.1%
SNA A 2.1%
WFRD D 2.07%
TGT F 2.07%
URBN C 2.06%
SM B 2.06%
ANF F 2.05%
SIG B 2.02%
JBL C 2.02%
CTSH B 2.02%
TOL B 2.01%
MHK D 2.0%
HPQ B 2.0%
MMM D 1.99%
TEX F 1.99%
UTHR C 1.98%
WSM C 1.97%
HRB D 1.96%
GPK C 1.95%
BBY D 1.94%
DKS D 1.94%
CNH C 1.9%
THC D 1.89%
OMC C 1.89%
LYB F 1.88%
CNC D 1.87%
FCX F 1.87%
UHS D 1.87%
CRI F 1.85%
IPG D 1.8%
MAT D 1.78%
ASO F 1.76%
CROX D 1.7%
QVAL Underweight 136 Positions Relative to TVAL
Symbol Grade Weight
XOM B -2.56%
CB C -2.23%
HIG B -1.96%
UNH B -1.9%
WMT A -1.89%
BAC A -1.89%
JNJ C -1.82%
WFC A -1.77%
SO C -1.67%
FI A -1.53%
KVUE A -1.49%
PM B -1.41%
LHX C -1.36%
COP C -1.25%
JPM A -1.23%
AVB B -1.22%
GE D -1.21%
LLY F -1.19%
TMO F -1.12%
SWK D -1.1%
CMI A -1.09%
QCOM F -1.08%
BDX F -1.01%
EQH C -1.0%
GOOG C -0.95%
SCHW B -0.89%
TMUS B -0.88%
WY F -0.88%
META D -0.87%
AIG B -0.87%
CI D -0.87%
ZBH C -0.85%
CL D -0.84%
EOG A -0.82%
C A -0.81%
MCK A -0.8%
MRK D -0.8%
FITB B -0.77%
NWSA A -0.75%
VST A -0.74%
NSC B -0.74%
CVX A -0.73%
LIN C -0.73%
KO D -0.72%
PG C -0.72%
TXN C -0.7%
HUBB B -0.7%
ACN B -0.7%
GEV B -0.7%
TTE F -0.7%
HON C -0.68%
SRE A -0.68%
MMC B -0.67%
KMB C -0.66%
MSFT D -0.65%
AEE A -0.65%
DHR F -0.65%
IP A -0.64%
HD B -0.63%
RSG A -0.62%
WDC D -0.6%
NEE C -0.59%
VZ C -0.58%
USB A -0.56%
BA F -0.56%
MS A -0.56%
D C -0.55%
AZO C -0.52%
RPM A -0.52%
ROK C -0.52%
CF A -0.52%
BAX F -0.5%
CSX C -0.49%
HWM A -0.48%
REXR F -0.48%
PGR A -0.48%
AZN F -0.47%
MAR A -0.47%
WMB A -0.46%
EQT B -0.46%
MCD D -0.46%
APO B -0.46%
TDG D -0.46%
HBAN A -0.45%
ARES A -0.45%
MU D -0.45%
HCA F -0.45%
PSA C -0.44%
BLK B -0.43%
FANG C -0.43%
MDLZ F -0.43%
REGN F -0.42%
UNP C -0.42%
CPAY A -0.42%
LVS B -0.41%
LAMR C -0.4%
KDP F -0.4%
CAG F -0.4%
TSM B -0.39%
ALL A -0.39%
AMAT F -0.38%
ABBV F -0.36%
YUM D -0.36%
KEYS A -0.35%
ADI D -0.35%
PLD F -0.34%
MSI B -0.34%
EFX F -0.33%
A D -0.33%
COF C -0.33%
STLD B -0.32%
TT A -0.31%
AME A -0.31%
OTIS C -0.3%
VRTX D -0.29%
ROP B -0.29%
TJX A -0.29%
UPS C -0.28%
CARR C -0.27%
MCHP F -0.27%
AXP A -0.26%
SPGI C -0.26%
CDW F -0.25%
MGM D -0.24%
ZTS D -0.23%
CME B -0.23%
HAL C -0.22%
VMC B -0.22%
AMD F -0.22%
MET A -0.22%
BHP F -0.2%
DIS B -0.2%
AVY F -0.19%
SNY F -0.19%
DTE C -0.17%
EQIX A -0.16%
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