SAEF vs. GSIG ETF Comparison

Comparison of Schwab Ariel ESG ETF (SAEF) to Goldman Sachs Access Investment Grade Corporate 1-5 Year Bond ETF (GSIG)
SAEF

Schwab Ariel ESG ETF

SAEF Description

Schwab Ariel ESG ETF is an exchange traded fund launched and managed by Charles Schwab Investment Management, Inc. The fund is co-managed by Ariel Investments, LLC. It invests in the public equity markets of the United States. The fund invests in stocks of companies operating across diversified sectors. It invests in growth and value stocks of diverse market cap companies, within the market capitalization range of the Russell 2500 Index. The fund invests in stocks of companies that are deemed socially conscious in their business dealings and directly promote environmental responsibility. It employs fundamental and quantitative analysis with bottom-up stock picking approach to create its portfolio. It employs proprietary research to create its portfolio. Schwab Ariel ESG ETF was formed on November 16, 2021 and is domiciled in the United States.

Grade (RS Rating)

Last Trade

$23.52

Average Daily Volume

1,384

Number of Holdings *

57

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

Goldman Sachs Access Investment Grade Corporate 1-5 Year Bond ETF

GSIG Description Goldman Sachs ETF Trust - Goldman Sachs Access Investment Grade Corporate 1-5 Year Bond ETF is an exchange traded fund launched and managed by Goldman Sachs Asset Management, L.P. The fund invests in the fixed income markets of the United States. It invests in securities of companies operating in financials, industrial, and utilities sector. The fund invests in investment grade, corporate bonds denominated in U.S. dollars with remaining maturities between one and five years and that are rated at least BBB- by S&P or Baa3 by Moody's. It seeks to track the performance of the FTSE Goldman Sachs US Investment-Grade Corporate Bond 1-5 Years Index, by employing representative sampling technique. Goldman Sachs ETF Trust - Goldman Sachs Access Investment Grade Corporate 1-5 Year Bond ETF is domiciled in the United States.

Grade (RS Rating)

Last Trade

$46.66

Average Daily Volume

362

Number of Holdings *

138

* may have additional holdings in another (foreign) market
Performance
Period SAEF GSIG
30 Days -1.85% 0.24%
60 Days -0.18% 0.57%
90 Days -1.37% 0.47%
12 Months 7.70% 3.32%
2 Overlapping Holdings
Symbol Grade Weight in SAEF Weight in GSIG Overlap
LH C 1.3% 0.43% 0.43%
ZBH D 1.66% 0.21% 0.21%
SAEF Overweight 55 Positions Relative to GSIG
Symbol Grade Weight
NCLH C 3.76%
OSW B 3.59%
LIND B 3.29%
BCO B 3.15%
KKR C 3.09%
NVT D 2.89%
REZI D 2.58%
ZBRA C 2.48%
CRL F 2.45%
NTRS C 2.23%
GS A 2.23%
PBH C 2.22%
FICO A 2.08%
GNRC C 2.07%
GNTX D 2.05%
CBRE C 1.87%
FAF D 1.85%
MAT F 1.85%
JLL B 1.78%
MTB C 1.7%
LFUS C 1.55%
KEYS D 1.53%
KN D 1.48%
MSI B 1.46%
AXTA D 1.45%
KMT F 1.45%
LESL F 1.42%
SSD F 1.4%
IPG F 1.36%
MIDD F 1.35%
ST C 1.35%
SNA F 1.32%
MSGE D 1.32%
MAS D 1.31%
PGR B 1.28%
DNB F 1.26%
ADTN D 1.25%
KMX C 1.2%
MSGS B 1.2%
AFL B 1.18%
ATGE A 1.14%
BWA F 1.13%
SRCL B 1.12%
PDCO F 1.1%
HCKT D 1.02%
BRC B 0.97%
MANU D 0.95%
MHK D 0.92%
KFY B 0.91%
REYN D 0.9%
BIO D 0.84%
NVST F 0.66%
SJM D 0.49%
PARA C 0.36%
PHIN D 0.25%
SAEF Underweight 136 Positions Relative to GSIG
Symbol Grade Weight
MUFG A -1.06%
USB D -1.02%
HSBC D -1.0%
MMC B -0.82%
PH D -0.76%
EXC D -0.75%
AMT B -0.73%
ALLY B -0.72%
WBA F -0.69%
DB C -0.66%
AMGN B -0.65%
CCI D -0.65%
BNS C -0.65%
CM C -0.64%
FOXA B -0.63%
DLTR F -0.62%
MU C -0.61%
UNP D -0.61%
VFC D -0.6%
AER B -0.59%
AAPL A -0.59%
HBAN D -0.57%
AMZN A -0.56%
MET D -0.52%
IBM B -0.51%
TFC B -0.51%
NKE F -0.46%
V C -0.44%
CVX D -0.44%
ORLY C -0.44%
DGX C -0.44%
ET B -0.43%
LIN C -0.43%
XOM D -0.43%
HAL F -0.42%
DTE D -0.4%
PXD B -0.4%
WM B -0.39%
CMCSA F -0.39%
PM B -0.38%
TGT D -0.37%
MSFT A -0.37%
RY B -0.37%
LYB D -0.36%
NWG A -0.35%
SYY D -0.34%
DUK C -0.34%
LEN D -0.34%
CI D -0.34%
QCOM B -0.34%
TD F -0.34%
BA C -0.34%
SRE B -0.33%
GIS D -0.33%
HPE C -0.33%
BAC B -0.33%
AN D -0.32%
CP C -0.32%
NEE D -0.32%
INTC C -0.32%
STT C -0.32%
ABBV C -0.32%
MPLX B -0.31%
TMUS B -0.3%
MO A -0.3%
PNC C -0.3%
DELL C -0.3%
AZN C -0.29%
PCAR D -0.29%
PEP D -0.28%
NOC D -0.28%
WFC C -0.28%
R B -0.27%
VOD B -0.27%
HCA C -0.27%
XEL D -0.26%
TMO D -0.26%
HPQ C -0.25%
EFX B -0.25%
ARCC A -0.25%
STZ B -0.24%
PAA B -0.23%
COP D -0.23%
LUV D -0.23%
LHX B -0.23%
DHI D -0.23%
CHTR C -0.23%
AVGO B -0.23%
AXP C -0.23%
LMT C -0.22%
TSN D -0.22%
SCHW D -0.22%
EPD B -0.22%
COF D -0.22%
KMI B -0.22%
GILD C -0.22%
WMB B -0.22%
GM B -0.22%
T B -0.22%
C B -0.22%
VLO D -0.21%
UAL D -0.21%
FITB D -0.21%
DE F -0.21%
GPN D -0.21%
JNJ F -0.21%
ORCL A -0.21%
BDX F -0.2%
CAT D -0.2%
VZ B -0.2%
JPM B -0.2%
CE F -0.19%
ROST B -0.18%
APTV F -0.18%
CNA B -0.17%
PCG D -0.17%
EBAY B -0.17%
VOYA D -0.17%
SO B -0.17%
RSG A -0.17%
SNX D -0.16%
AEP C -0.16%
MPC D -0.16%
LVS F -0.16%
MS B -0.16%
CARR C -0.15%
BMO D -0.15%
NXPI B -0.13%
PRU B -0.13%
JEF B -0.13%
MAR C -0.12%
SYF B -0.11%
NUE F -0.09%
DIS D -0.09%
GLPI B -0.09%
CVS D -0.07%
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