RMIF vs. CEFD ETF Comparison

Comparison of LHA Risk-Managed Income ETF (RMIF) to ETRACS Monthly Pay 1.5X Leveraged Closed-End Fund Index ETN (CEFD)
RMIF

LHA Risk-Managed Income ETF

RMIF Description

The fund is an actively-managed "fund of funds" and seeks to achieve its investment objective by investing primarily in other investment companies, including other actively managed exchange-traded funds ("ETFs") and index-based ETFs (collectively, "Underlying Investments"), that provide exposure to a broad range of fixed income asset classes. The fund may also invest in cash, cash equivalents, or money market funds.

Grade (RS Rating)

Last Trade

$25.31

Average Daily Volume

2,711

Number of Holdings *

4

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

ETRACS Monthly Pay 1.5X Leveraged Closed-End Fund Index ETN

CEFD Description The investment seeks to provide 1.5 times leveraged long exposure to the compounded quarterly performance of the S-Network Composite Closed-End Fund Index (the ?index?), reduced by the Accrued Fees. The index is a mutual fund index designed to serve as a benchmark for closed-end funds listed in the U.S. that are principally engaged in asset management processes designed to produce taxable annual yield.

Grade (RS Rating)

Last Trade

$20.48

Average Daily Volume

1,943

Number of Holdings *

99

* may have additional holdings in another (foreign) market
Performance
Period RMIF CEFD
30 Days 0.75% 0.58%
60 Days 1.60% 5.08%
90 Days 2.84% 9.09%
12 Months 7.85% 34.42%
0 Overlapping Holdings
Symbol Grade Weight in RMIF Weight in CEFD Overlap
RMIF Overweight 4 Positions Relative to CEFD
Symbol Grade Weight
SJNK A 20.29%
BKLN A 20.23%
SRLN A 20.22%
FTSL A 19.34%
RMIF Underweight 99 Positions Relative to CEFD
Symbol Grade Weight
EVV B -2.63%
BDJ A -2.39%
HYT D -2.19%
BTZ D -2.16%
NXDT C -1.9%
AWF C -1.83%
DSL C -1.77%
JQC B -1.66%
BXMX A -1.65%
EMD D -1.5%
WIW B -1.37%
BHK D -1.3%
QQQX A -1.26%
BOE C -1.23%
BCX B -1.2%
HIO A -1.19%
JPC B -1.18%
RA D -1.17%
GHY B -1.16%
BGY D -1.09%
CII B -1.07%
HIX B -1.01%
BIT B -1.01%
EOS A -1.0%
IGD C -0.98%
EFT B -0.95%
HTD C -0.94%
BST B -0.92%
BLW B -0.92%
EAD D -0.9%
ISD A -0.88%
LDP C -0.84%
FFC D -0.83%
EFR A -0.82%
FRA A -0.82%
TEI D -0.75%
PHK B -0.75%
EOI B -0.73%
MIN B -0.71%
EHI D -0.71%
NBB D -0.71%
MCR D -0.7%
PDT D -0.69%
DIAX B -0.69%
PPT D -0.67%
WIA C -0.66%
MMT D -0.64%
GOF A -0.64%
JPI C -0.63%
BKT D -0.62%
PFN B -0.59%
JGH C -0.59%
FCT A -0.58%
ERC D -0.57%
HPS D -0.55%
HYI B -0.55%
DFP D -0.55%
BME D -0.54%
BGT C -0.49%
HPI D -0.47%
PHD C -0.44%
BGH A -0.44%
FTF D -0.43%
GBAB D -0.42%
HYB D -0.39%
EVG B -0.38%
IDE B -0.38%
DHF B -0.38%
PHT C -0.38%
TSI B -0.37%
ETB A -0.37%
FT B -0.37%
STK B -0.37%
DHY C -0.36%
HPF D -0.36%
MSD D -0.34%
INSI C -0.34%
FFA B -0.32%
DBL D -0.31%
GDO F -0.31%
PSF D -0.31%
VBF D -0.3%
BGR A -0.3%
PIM D -0.3%
PFL C -0.29%
IGA B -0.29%
OPP D -0.29%
SPXX A -0.27%
FLC D -0.24%
MCN D -0.24%
CIK D -0.24%
WEA B -0.22%
FAM B -0.21%
VLT B -0.19%
MGF D -0.19%
VGI C -0.18%
HEQ C -0.18%
GNT B -0.14%
JLS C -0.14%
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