RMIF vs. SIXS ETF Comparison

Comparison of LHA Risk-Managed Income ETF (RMIF) to 6 Meridian Small Cap Equity ETF (SIXS)
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

$25.42

Average Daily Volume

2,580

Number of Holdings *

4

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

6 Meridian Small Cap Equity ETF

SIXS Description The investment seeks to provide capital appreciation. Under normal circumstances, the fund invests at least 80% of its net assets (plus the amount of any borrowings for investment purposes) in small-capitalization equity securities. The Sub-Adviser considers small-capitalization companies to be the smallest 75% of stocks included in the Russell 3000 Index by market capitalization. Although it invests primarily in small-capitalization securities, the fund may invest in equity securities of companies of any capitalization. The equity securities in which it invests are mainly common stocks.

Grade (RS Rating)

Last Trade

$52.01

Average Daily Volume

2,095

Number of Holdings *

81

* may have additional holdings in another (foreign) market
Performance
Period RMIF SIXS
30 Days 0.93% 7.89%
60 Days 1.24% 6.93%
90 Days 2.22% 6.21%
12 Months 8.06% 20.47%
0 Overlapping Holdings
Symbol Grade Weight in RMIF Weight in SIXS Overlap
RMIF Overweight 4 Positions Relative to SIXS
Symbol Grade Weight
BKLN A 20.26%
SJNK A 20.15%
SRLN A 20.09%
FTSL B 19.39%
RMIF Underweight 81 Positions Relative to SIXS
Symbol Grade Weight
CALM A -2.95%
PRDO B -2.65%
AGO B -2.52%
HCI C -2.35%
INVA D -2.11%
COLL F -1.68%
CEIX A -1.46%
HCC B -1.34%
LRN A -1.34%
ENVA B -1.33%
ATEN B -1.31%
HSII B -1.31%
ATGE B -1.3%
AX A -1.3%
MGEE C -1.29%
AMR C -1.28%
AMSF B -1.27%
DNOW B -1.27%
PFBC B -1.26%
MCY A -1.25%
VRTS B -1.25%
VIRT B -1.23%
HMN B -1.23%
PRGS A -1.23%
AMBC C -1.23%
FDP B -1.22%
BKE B -1.22%
SMPL B -1.21%
EIG B -1.19%
CUBI C -1.19%
PINC B -1.18%
HP B -1.18%
RAMP C -1.18%
PBH A -1.17%
REX D -1.17%
SM B -1.16%
DVAX C -1.16%
HSTM B -1.16%
MMSI B -1.15%
MSGS A -1.15%
ZEUS C -1.14%
PUMP B -1.14%
FIZZ C -1.13%
PLAB C -1.12%
AWR B -1.12%
BOX B -1.11%
SCSC B -1.11%
SPNT A -1.11%
LTC B -1.11%
TR B -1.11%
GDEN B -1.1%
NPK B -1.09%
EZPW A -1.09%
BFH B -1.09%
MOV C -1.08%
SAFT C -1.08%
GTY B -1.08%
WNC C -1.08%
WRLD C -1.07%
ANDE D -1.06%
JJSF B -1.06%
WKC D -1.06%
MHO D -1.06%
RES D -1.06%
BRC D -1.05%
RDN C -1.04%
GIII D -1.04%
ENSG D -1.02%
PMT D -1.01%
MTUS C -1.01%
DXC B -1.0%
LBRT D -0.99%
RGR F -0.99%
JBSS D -0.93%
CVI F -0.9%
CLW F -0.88%
SPTN D -0.88%
NABL F -0.87%
THS D -0.83%
LPG F -0.79%
OGN D -0.76%
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