QYLE vs. IMCG ETF Comparison

Comparison of Global X Nasdaq 100 ESG Covered Call ETF (QYLE) to iShares Morningstar Mid-Cap Growth ETF (IMCG)
QYLE

Global X Nasdaq 100 ESG Covered Call ETF

QYLE Description

The fund invests at least 80% of its net assets, plus borrowings for investment purposes (if any), in the securities of the Nasdaq-100 ESG BuyWrite Index (the underlying index). The fund's 80% investment policy is non-fundamental and requires 60 days prior written notice to shareholders before it can be changed. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$27.70

Average Daily Volume

942

Number of Holdings *

93

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

iShares Morningstar Mid-Cap Growth ETF

IMCG Description The investment seeks to track the investment results of the Morningstar® US Mid Cap Broad Growth IndexSM composed of mid-capitalization U.S. equities that exhibit growth characteristics. The fund generally invests at least 90% of its assets in securities of the underlying index and in depositary receipts representing securities of the underlying index. The underlying index measures the performance of stocks issued by mid-capitalization companies that have exhibited above-average "growth" characteristics as determined by Morningstar, Inc.'s ("Morningstar" or the "index provider") proprietary index methodology.

Grade (RS Rating)

Last Trade

$79.81

Average Daily Volume

132,538

Number of Holdings *

299

* may have additional holdings in another (foreign) market
Performance
Period QYLE IMCG
30 Days 2.53% 8.56%
60 Days 4.14% 9.96%
90 Days 5.81% 12.47%
12 Months 21.01% 34.97%
31 Overlapping Holdings
Symbol Grade Weight in QYLE Weight in IMCG Overlap
ADSK A 0.54% 1.12% 0.54%
ANSS B 0.24% 0.5% 0.24%
CDW F 0.26% 0.42% 0.26%
CPRT A 0.43% 0.86% 0.43%
CSGP D 0.18% 0.51% 0.18%
DASH A 0.39% 0.91% 0.39%
DDOG A 0.32% 0.65% 0.32%
DLTR F 0.1% 0.1% 0.1%
DXCM D 0.18% 0.53% 0.18%
EA A 0.38% 0.49% 0.38%
FAST B 0.22% 0.82% 0.22%
FTNT C 0.55% 1.07% 0.55%
GEHC F 0.12% 0.25% 0.12%
IDXX F 0.28% 0.61% 0.28%
ILMN D 0.15% 0.37% 0.15%
KDP D 0.24% 0.21% 0.21%
LULU C 0.32% 0.62% 0.32%
MCHP D 0.12% 0.25% 0.12%
MDB C 0.17% 0.35% 0.17%
MRNA F 0.09% 0.09% 0.09%
ODFL B 0.39% 0.72% 0.39%
ON D 0.17% 0.18% 0.17%
PAYX C 0.4% 0.81% 0.4%
ROST C 0.36% 0.8% 0.36%
SMCI F 0.07% 0.16% 0.07%
TEAM A 0.29% 0.66% 0.29%
TTD B 0.33% 0.92% 0.33%
TTWO A 0.25% 0.51% 0.25%
VRSK A 0.31% 0.7% 0.31%
WDAY B 0.43% 0.96% 0.43%
ZS C 0.23% 0.32% 0.23%
QYLE Overweight 62 Positions Relative to IMCG
Symbol Grade Weight
NVDA C 12.14%
MSFT F 10.3%
AAPL C 10.13%
AVGO D 5.4%
AMZN C 2.98%
TSLA B 2.89%
NFLX A 2.87%
LIN D 2.09%
CSCO B 2.05%
ADBE C 1.97%
GOOGL C 1.96%
AMD F 1.92%
GOOG C 1.89%
META D 1.83%
COST B 1.82%
QCOM F 1.58%
INTU C 1.48%
AMAT F 1.41%
PEP F 1.41%
TMUS B 1.34%
ISRG A 1.28%
BKNG A 1.22%
TXN C 1.1%
PANW C 1.1%
ADP B 1.01%
CMCSA B 0.95%
AMGN D 0.9%
LRCX F 0.88%
INTC D 0.86%
VRTX F 0.85%
CDNS B 0.78%
MU D 0.76%
SNPS B 0.71%
GILD C 0.69%
CTAS B 0.67%
PYPL B 0.67%
KLAC D 0.67%
ASML F 0.66%
ORLY B 0.64%
REGN F 0.64%
SBUX A 0.64%
MRVL B 0.62%
CRWD B 0.59%
MDLZ F 0.53%
MAR B 0.51%
MELI D 0.51%
CSX B 0.43%
ROP B 0.4%
NXPI D 0.39%
CTSH B 0.33%
ABNB C 0.32%
PCAR B 0.31%
CCEP C 0.31%
CHTR C 0.3%
PDD F 0.28%
EXC C 0.27%
AZN D 0.23%
WBD C 0.17%
GFS C 0.17%
BIIB F 0.16%
MNST C 0.12%
KHC F 0.1%
QYLE Underweight 268 Positions Relative to IMCG
Symbol Grade Weight
PLTR B -2.29%
HLT A -1.06%
COIN C -1.05%
APP B -1.05%
FICO B -0.97%
GWW B -0.92%
AZO C -0.92%
GEV B -0.82%
MSCI C -0.82%
PWR A -0.82%
SQ B -0.81%
HWM A -0.8%
AME A -0.78%
VRT B -0.76%
AXON A -0.75%
DLR B -0.74%
IR B -0.72%
HES B -0.71%
EW C -0.71%
IT C -0.7%
RCL A -0.66%
VMC B -0.65%
A D -0.65%
SYY B -0.65%
AMP A -0.65%
YUM B -0.65%
CARR D -0.64%
MLM B -0.63%
MSTR C -0.63%
WAB B -0.6%
HUBS A -0.6%
RMD C -0.6%
JCI C -0.58%
CMI A -0.58%
ROK B -0.57%
VEEV C -0.55%
ARES A -0.54%
EFX F -0.53%
ALNY D -0.52%
XYL D -0.51%
VST B -0.5%
FCNCA A -0.48%
NEM D -0.47%
MPWR F -0.47%
BR A -0.47%
CHD B -0.47%
BRO B -0.47%
NET B -0.47%
DECK A -0.47%
TPL A -0.46%
RBLX C -0.46%
URI B -0.46%
TRV B -0.45%
TYL B -0.44%
DFS B -0.44%
MTD D -0.44%
PSA D -0.44%
CBRE B -0.43%
GDDY A -0.43%
SBAC D -0.42%
TEL B -0.42%
OTIS C -0.42%
HUBB B -0.41%
LPLA A -0.41%
EME C -0.41%
PTC A -0.4%
WST C -0.4%
COR B -0.39%
IQV D -0.39%
ALL A -0.38%
BKR B -0.38%
STE F -0.38%
D C -0.37%
TSCO D -0.37%
CSL C -0.36%
STZ D -0.36%
GRMN B -0.36%
DOV A -0.34%
FSLR F -0.34%
INVH D -0.34%
LII A -0.34%
LVS C -0.34%
PCG A -0.33%
CPAY A -0.33%
LYV A -0.33%
CPNG D -0.33%
IBKR A -0.33%
TRGP B -0.32%
WSO A -0.32%
PODD C -0.32%
RJF A -0.32%
FDS B -0.32%
FTV C -0.32%
TRU D -0.32%
DAL C -0.32%
NTRA B -0.31%
NTNX A -0.3%
IRM D -0.3%
BURL A -0.3%
FWONK B -0.3%
IEX B -0.3%
CTVA C -0.3%
O D -0.29%
HOOD B -0.29%
MANH D -0.29%
WTW B -0.28%
FIX A -0.28%
AVB B -0.28%
KMB D -0.28%
DOCU A -0.28%
DD D -0.28%
HEI B -0.28%
TWLO A -0.28%
SUI D -0.27%
EQT B -0.27%
VRSN F -0.27%
BAH F -0.26%
ROL B -0.26%
LNG B -0.26%
EL F -0.26%
PSTG D -0.26%
TW A -0.26%
DPZ C -0.26%
ZBRA B -0.26%
DELL C -0.26%
GGG B -0.26%
COO D -0.25%
HAL C -0.25%
VLTO D -0.25%
DT C -0.25%
WAT B -0.24%
MKL A -0.24%
SAIA B -0.24%
HSY F -0.24%
PFGC B -0.23%
AWK D -0.23%
DOW F -0.23%
NDSN B -0.23%
CLX B -0.23%
CLH B -0.22%
NTAP C -0.22%
JKHY D -0.22%
PNR A -0.22%
KEYS A -0.21%
EXPE B -0.21%
GPN B -0.21%
NBIX C -0.21%
LECO B -0.21%
OKTA C -0.21%
BMRN D -0.21%
TDY B -0.21%
NVT B -0.21%
AMH D -0.21%
KIM A -0.21%
NDAQ A -0.21%
ACGL D -0.21%
EXR D -0.21%
XPO B -0.2%
SNAP C -0.2%
EBAY D -0.2%
HEI B -0.2%
PPG F -0.2%
PHM D -0.2%
TRMB B -0.2%
RPM A -0.2%
ZBH C -0.2%
DAY B -0.2%
J F -0.2%
TECH D -0.19%
ALGN D -0.19%
LW C -0.19%
FND C -0.19%
TTEK F -0.19%
WRB A -0.19%
BALL D -0.19%
PAYC B -0.19%
EQR B -0.18%
BLDR D -0.18%
ERIE D -0.18%
WSM B -0.18%
CASY A -0.18%
DKNG B -0.18%
SRPT D -0.17%
MOH F -0.17%
CHDN B -0.17%
MKC D -0.17%
DRI B -0.17%
ACM A -0.16%
GEN B -0.16%
TSN B -0.16%
VTR C -0.16%
ENTG D -0.16%
MORN B -0.16%
CINF A -0.16%
EXAS D -0.16%
ESS B -0.16%
WMS D -0.16%
JBHT C -0.16%
WING D -0.16%
PINS D -0.16%
ULTA F -0.15%
LUV C -0.15%
WYNN D -0.15%
LDOS C -0.15%
TER D -0.14%
TXT D -0.14%
MEDP D -0.14%
JBL B -0.14%
ELS C -0.14%
AVY D -0.14%
ENPH F -0.14%
UDR B -0.14%
AVTR F -0.14%
ALLE D -0.13%
GPC D -0.13%
MAS D -0.13%
USFD A -0.13%
CTRA B -0.13%
CNM D -0.13%
POOL C -0.12%
KMX B -0.12%
NRG B -0.12%
AZPN A -0.12%
SCI B -0.12%
INCY C -0.12%
EPAM C -0.12%
MAA B -0.12%
CMS C -0.12%
SWK D -0.11%
CRL C -0.11%
AOS F -0.11%
BSY D -0.11%
APTV D -0.11%
RRX B -0.11%
ALB C -0.11%
SNA A -0.11%
BLD D -0.11%
UHS D -0.1%
CPT B -0.1%
FFIV B -0.1%
TOL B -0.1%
RVTY F -0.1%
PCOR B -0.1%
AKAM D -0.1%
FLEX A -0.09%
U C -0.09%
DKS C -0.09%
CE F -0.08%
HII D -0.08%
BJ A -0.08%
REG B -0.08%
ARE D -0.08%
BRKR D -0.08%
AFG A -0.07%
DVA B -0.07%
CCK C -0.07%
MGM D -0.07%
CELH F -0.07%
TFX F -0.06%
QRVO F -0.06%
UHAL D -0.05%
HRL D -0.05%
WTRG B -0.05%
COTY F -0.04%
ALAB B -0.04%
FWONA B -0.03%
WLK D -0.03%
UHAL D -0.0%
Compare ETFs