SDG vs. DFAR ETF Comparison

Comparison of iShares MSCI Global Impact ETF (SDG) to Dimensional US Real Estate ETF (DFAR)
SDG

iShares MSCI Global Impact ETF

SDG Description

The iShares MSCI Global Impact ETF seeks to track the investment results of an index composed of positive impact companies that derive a majority of their revenue from products and services that address at least one of the world's major social and environmental challenges as identified by the United Nations Sustainable Development Goals.

Grade (RS Rating)

Last Trade

$76.43

Average Daily Volume

15,241

Number of Holdings *

20

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

Dimensional US Real Estate ETF

DFAR Description Dimensional US Real Estate ETF is an exchange traded fund launched and managed by Dimensional Fund Advisors L.P. The fund invests in public equity markets of the United States. It invests in stocks of companies operating across real estate sectors. The fund invests in growth and value stocks of companies across diversified market capitalization. Dimensional US Real Estate ETF is domiciled in the United States.

Grade (RS Rating)

Last Trade

$23.87

Average Daily Volume

158,830

Number of Holdings *

126

* may have additional holdings in another (foreign) market
Performance
Period SDG DFAR
30 Days 2.52% 9.04%
60 Days -2.30% 11.19%
90 Days -2.23% 14.45%
12 Months -2.41% 13.51%
4 Overlapping Holdings
Symbol Grade Weight in SDG Weight in DFAR Overlap
ARE D 1.0% 1.51% 1.0%
BXP B 1.0% 0.85% 0.85%
DLR B 1.0% 3.68% 1.0%
SUI A 1.0% 1.2% 1.0%
SDG Overweight 16 Positions Relative to DFAR
Symbol Grade Weight
AMGN B 1.0%
ENPH F 1.0%
WY B 1.0%
XYL D 1.0%
VRTX A 1.0%
REGN A 1.0%
HRL B 1.0%
FSLR D 1.0%
INCY C 1.0%
EW F 1.0%
DXCM F 1.0%
UTHR B 1.0%
BMRN C 1.0%
ALNY A 1.0%
PODD B 1.0%
HKD F -10.15%
SDG Underweight 122 Positions Relative to DFAR
Symbol Grade Weight
PLD B -9.07%
AMT A -7.92%
EQIX B -5.62%
WELL A -4.86%
O A -3.99%
SPG B -3.94%
PSA B -3.71%
CCI A -2.82%
EXR B -2.66%
VICI A -2.52%
IRM A -2.31%
AVB A -2.28%
EQR A -1.92%
VTR A -1.74%
INVH B -1.68%
ESS A -1.42%
SBAC B -1.34%
MAA A -1.31%
DOC A -1.23%
KIM A -1.16%
GLPI B -1.08%
UDR B -1.01%
HST F -0.99%
ELS A -0.98%
AMH C -0.93%
REG A -0.92%
CPT A -0.92%
CUBE B -0.87%
REXR B -0.87%
LAMR B -0.84%
WPC C -0.77%
EGP A -0.72%
OHI A -0.71%
FRT A -0.68%
NNN A -0.67%
BRX B -0.62%
COLD B -0.61%
STAG A -0.59%
FR A -0.58%
ADC A -0.56%
TRNO A -0.52%
RHP C -0.46%
KRG A -0.43%
EPRT B -0.42%
SLG B -0.36%
VNO B -0.36%
PECO B -0.35%
KRC C -0.33%
CUZ A -0.33%
IRT A -0.32%
MAC C -0.3%
SBRA B -0.3%
CTRE A -0.3%
IIPR B -0.28%
APLE C -0.28%
BNL B -0.27%
SKT A -0.27%
EPR B -0.27%
HIW A -0.26%
NHI A -0.26%
PK F -0.25%
NSA C -0.24%
MPW D -0.24%
LXP B -0.24%
SITC B -0.24%
DEI B -0.21%
FCPT A -0.2%
UE B -0.19%
AKR B -0.18%
OUT B -0.17%
SHO D -0.16%
ROIC B -0.16%
EQC A -0.15%
IVT A -0.15%
DRH F -0.14%
PEB F -0.13%
RLJ F -0.12%
LTC B -0.12%
GTY B -0.12%
ESRT B -0.11%
XHR D -0.11%
JBGS C -0.11%
NTST D -0.1%
AAT B -0.1%
AIV A -0.09%
DEA B -0.09%
UMH A -0.09%
GNL C -0.09%
NXRT A -0.08%
CSR A -0.08%
PDM A -0.08%
BDN B -0.07%
UNIT C -0.07%
SVC D -0.07%
PGRE C -0.07%
PLYM B -0.07%
HPP C -0.06%
GMRE C -0.05%
WSR B -0.05%
INN B -0.05%
BFS A -0.04%
UHT B -0.04%
ALX B -0.04%
GOOD A -0.04%
PSTL A -0.03%
CBL B -0.03%
CLDT C -0.03%
CTO A -0.03%
CHCT F -0.03%
DHC C -0.03%
OLP B -0.03%
BHR C -0.02%
BRT B -0.02%
CIO C -0.02%
ILPT C -0.02%
OPI D -0.01%
PINE B -0.01%
GIPR F -0.0%
CMCT F -0.0%
CLPR D -0.0%
SELF C -0.0%
MDV B -0.0%
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