RZG vs. TMFM ETF Comparison

Comparison of Guggenheim S&P Smallcap 600 Pure Growth ETF (RZG) to Motley Fool Mid-Cap Growth ETF (TMFM)
RZG

Guggenheim S&P Smallcap 600 Pure Growth ETF

RZG Description

The investment seeks to replicate as closely as possible, before fees and expenses, the performance of the S&P SmallCap 600 Pure Growth Index Total Return. The fund will invest at least 90% of its net assets, plus any borrowings for investment purposes, in the equity securities included in the underlying index. The underlying index is narrow in focus, containing only those S&P SmallCap 600 companies with strong growth characteristics as selected by S&P. It may hold up to 10% of its assets in securities not included in the underlying index. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$54.69

Average Daily Volume

5,569

Number of Holdings *

130

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

Motley Fool Mid-Cap Growth ETF

TMFM Description Motley Fool Mid-Cap Growth ETF is an exchange traded fund launched by The RBB Fund, Inc. It is managed by Motley Fool Asset Management, LLC. It invests in public equity markets of the United States. It invests in stocks of companies operating across diversified sectors. It invests in growth stocks of mid-cap companies, within the market capitalization range of the Russell Midcap Growth Total Return Index. The fund employs fundamental analysis to create its portfolio. The fund seeks to benchmark the performance of its portfolio against the Russell Midcap Growth Total Return Index. Motley Fool Mid-Cap Growth ETF was formed on November 1, 2010 and is domiciled in the United States.

Grade (RS Rating)

Last Trade

$32.61

Average Daily Volume

6,648

Number of Holdings *

29

* may have additional holdings in another (foreign) market
Performance
Period RZG TMFM
30 Days 10.08% 8.69%
60 Days 6.58% 12.63%
90 Days 6.55% 15.30%
12 Months 34.08% 39.55%
1 Overlapping Holdings
Symbol Grade Weight in RZG Weight in TMFM Overlap
GSHD A 1.31% 3.05% 1.31%
RZG Overweight 129 Positions Relative to TMFM
Symbol Grade Weight
TGTX B 1.92%
CNK B 1.86%
PRG C 1.77%
UFPT B 1.62%
POWL C 1.51%
HWKN B 1.48%
GPI A 1.46%
CSWI A 1.44%
SPNT A 1.36%
GRBK D 1.35%
ADMA B 1.27%
CARG C 1.26%
CRS A 1.26%
CEIX A 1.25%
IDCC A 1.25%
MATX C 1.22%
CVCO A 1.2%
BOOT D 1.2%
NOG A 1.18%
HCC B 1.17%
SHAK C 1.14%
CALM A 1.1%
PATK D 1.1%
TBBK B 1.01%
LRN A 1.0%
MLI C 0.99%
IBP D 0.99%
CASH A 0.96%
GMS B 0.96%
MARA C 0.94%
IPAR B 0.94%
ATGE B 0.93%
VVI C 0.91%
JOE F 0.9%
AMR C 0.9%
VCEL B 0.89%
HCI C 0.88%
VRRM D 0.87%
MHO D 0.87%
RWT D 0.86%
FBP B 0.86%
AMBC C 0.85%
CUBI C 0.84%
RDNT B 0.83%
PLMR B 0.82%
AZZ B 0.81%
LBRT D 0.8%
ARCB C 0.79%
REX D 0.78%
CRVL A 0.77%
CPRX C 0.77%
MTH D 0.77%
AVAV D 0.74%
CRC B 0.73%
CARS B 0.72%
OFG B 0.7%
HLX B 0.69%
OII B 0.69%
BMI B 0.68%
FTDR A 0.67%
SHO C 0.67%
URBN C 0.67%
WT B 0.66%
DVAX C 0.65%
ACLS F 0.65%
LPG F 0.65%
SIG B 0.64%
EXPI C 0.64%
GKOS B 0.64%
ATI D 0.64%
PFBC B 0.63%
DRH B 0.63%
FSS B 0.63%
BCC B 0.62%
MOG.A B 0.6%
MGY A 0.6%
MTRN C 0.6%
TMDX F 0.6%
PLAY D 0.59%
ANIP F 0.59%
LQDT B 0.59%
ROCK C 0.59%
OTTR C 0.58%
EFC C 0.57%
AMPH D 0.57%
COLL F 0.56%
SPSC C 0.56%
MYRG B 0.55%
AGYS A 0.55%
TFIN A 0.53%
MCRI A 0.53%
SM B 0.52%
VECO F 0.51%
RAMP C 0.49%
YELP C 0.48%
PARR D 0.48%
TDW F 0.47%
CCOI B 0.47%
SXI B 0.46%
ITGR B 0.45%
AWI A 0.44%
KTB B 0.44%
GES F 0.44%
FELE B 0.43%
WRLD C 0.43%
AROC B 0.43%
TRIP F 0.42%
RES D 0.42%
SHOO D 0.41%
ARLO C 0.4%
DV C 0.4%
MSGS A 0.39%
OXM D 0.38%
OSIS B 0.37%
ASTH D 0.37%
WDFC B 0.36%
AEO F 0.36%
APLE B 0.35%
ALG B 0.33%
PRGS A 0.32%
XPEL C 0.32%
TNC D 0.31%
PGNY F 0.3%
DFIN D 0.29%
NEO C 0.28%
PDFS C 0.27%
PRVA B 0.25%
CNMD C 0.18%
JACK D 0.14%
RZG Underweight 28 Positions Relative to TMFM
Symbol Grade Weight
BRO B -5.99%
TYL B -5.46%
AXON A -4.97%
TOST B -4.91%
BR A -4.61%
SNEX B -4.24%
GMED A -4.01%
HQY B -3.84%
FAST B -3.78%
SBAC D -3.35%
RXO C -3.34%
HRI B -3.18%
WSO A -3.01%
GNTX C -2.99%
GWRE A -2.96%
GXO B -2.91%
WAT B -2.82%
DXCM D -2.76%
ALRM C -2.73%
EMN D -2.31%
MORN B -2.3%
TREX C -2.29%
TRU D -2.22%
CSGP D -2.06%
BMRN D -1.9%
RARE D -1.85%
TSCO D -1.81%
ARE D -1.53%
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