REAI vs. CVAR ETF Comparison

Comparison of Intelligent Real Estate ETF (REAI) to Cultivar ETF (CVAR)
REAI

Intelligent Real Estate ETF

REAI Description

REAI aims to remove the restrictions of investing in non-traded REITs, such as low liquidity, high expenses, and gate provisions. However, there are differences between listed REITs and non-traded REITs, most notable are dividend distribution, capital formation, and how each invests. REAI actively manages a portfolio of 20-50 publicly traded REITs while aiming to provide similar risk and returns of non-traded REITs. Dividend distributions may be lower than those from non-traded REITs. However, the use of listed REITs may provide more safeguards to end investors. Utilizing a research-based investment approach, the funds assets will be allocated to resemble the geographic and thematic exposure of real estate private equity. Security selection and rebalancing decisions involve bottom-up analysis based on corporate profitability, balance sheet, and portfolio and property-level analytics. Up to 10% of the funds assets may be invested in mortgage-backed securities. Prior to Jan. 29, 2024, the fund was called Private Real Estate Strategy via Liquid REITs ETF with the ticker PRVT.

Grade (RS Rating)

Last Trade

$21.66

Average Daily Volume

283

Number of Holdings *

60

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

Cultivar ETF

CVAR Description ETF Opportunities Trust - Cultivar ETF is an exchange traded fund launched by ETF Opportunities Trust. The fund is co-managed by Cultivar Capital, Inc. and Toroso Investments, LLC. It invests in public equity markets of global region. The fund invests in stocks of companies operating across diversified sectors. It invests in value stocks of companies across diversified market capitalization. The fund employs fundamental and quantitative analysis with bottom-up and top-down stock picking approach to create its portfolio. ETF Opportunities Trust - Cultivar ETF is domiciled in the United States.

Grade (RS Rating)

Last Trade

$26.86

Average Daily Volume

535

Number of Holdings *

76

* may have additional holdings in another (foreign) market
Performance
Period REAI CVAR
30 Days -4.71% -2.10%
60 Days -5.15% 0.21%
90 Days 2.26% 3.01%
12 Months 25.38% 18.45%
6 Overlapping Holdings
Symbol Grade Weight in REAI Weight in CVAR Overlap
CCI D 1.5% 0.42% 0.42%
DEI B 1.73% 1.15% 1.15%
ESRT D 1.58% 0.55% 0.55%
KRC C 1.69% 0.7% 0.7%
LTC B 1.72% 0.53% 0.53%
PDM D 1.63% 0.48% 0.48%
REAI Overweight 54 Positions Relative to CVAR
Symbol Grade Weight
SLG B 1.89%
CHCT C 1.82%
UE B 1.73%
SBRA C 1.7%
CBL B 1.7%
MAC A 1.68%
GOOD B 1.68%
OLP A 1.67%
SKT A 1.66%
NXRT A 1.66%
BRX A 1.66%
EQIX B 1.66%
AAT C 1.66%
DOC D 1.65%
CDP C 1.65%
ESS A 1.64%
DRH B 1.64%
AHH D 1.63%
VTR C 1.63%
OHI C 1.62%
SPG A 1.62%
APLE B 1.62%
ELS B 1.62%
BFS C 1.61%
FRT B 1.61%
HST D 1.6%
LAMR D 1.6%
NHI D 1.6%
UHT D 1.6%
ALX D 1.6%
HIW D 1.59%
MAA A 1.59%
UDR C 1.58%
BXP D 1.58%
XHR B 1.58%
STAG D 1.58%
CPT D 1.57%
RHP B 1.57%
PLYM F 1.56%
INVH D 1.56%
FR D 1.54%
PSA C 1.54%
GLPI D 1.54%
EGP D 1.54%
IRM D 1.53%
CUBE C 1.51%
SUI D 1.5%
BDN D 1.5%
EPR D 1.47%
AMT D 1.43%
NNN D 1.38%
IIPR F 1.33%
SVC F 1.07%
OPI F 1.05%
REAI Underweight 70 Positions Relative to CVAR
Symbol Grade Weight
CLB C -5.62%
NWN A -5.43%
LUV A -5.42%
MKTX C -5.06%
NEM F -4.08%
PRLB B -3.46%
HCSG B -2.94%
VEEV C -1.84%
PAYC B -1.74%
GPN B -1.66%
MKC D -1.62%
INTC C -1.47%
MDT D -1.37%
HUM F -1.36%
JNJ D -1.26%
ES C -1.21%
HRL D -1.2%
QRVO F -1.16%
TSN A -1.13%
ABT B -1.11%
WU F -1.08%
FMS A -1.08%
GOLD F -1.07%
C A -1.07%
CLX A -1.05%
WKC C -1.03%
EW C -1.02%
ZTS D -1.02%
G A -1.02%
KMB C -1.02%
POR D -1.01%
HAS D -1.01%
PRGO C -1.0%
NKE D -1.0%
TFC A -0.99%
BABA D -0.96%
ANSS B -0.92%
ARE D -0.91%
DG F -0.91%
SW A -0.9%
SWKS F -0.9%
SJM F -0.89%
CVS F -0.89%
INDB A -0.87%
CMCSA B -0.81%
FMC F -0.81%
CGNX D -0.81%
AAP D -0.79%
BP F -0.68%
BMY B -0.65%
INGN B -0.64%
PYPL A -0.63%
WHR A -0.61%
MNRO B -0.6%
OGS A -0.57%
MCHP F -0.57%
IDA A -0.55%
ILMN C -0.55%
ADSK B -0.55%
PARA C -0.54%
CTSH B -0.52%
ZBH C -0.52%
JBT B -0.5%
MMM D -0.49%
SCS A -0.48%
SQM D -0.47%
RDUS C -0.47%
PFE F -0.46%
CMP B -0.34%
WBD B -0.18%
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