TMFG vs. FLQM ETF Comparison

Comparison of Motley Fool Global Opportunities ETF (TMFG) to Franklin LibertyQ U.S. Mid Cap Equity ETF (FLQM)
TMFG

Motley Fool Global Opportunities ETF

TMFG Description

Motley Fool Global Opportunities ETF is an exchange traded fund launched by The RBB Fund, Inc. It is managed by Motley Fool Asset Management, LLC. The fund invests in public equity markets of global region. The fund invests in stocks of companies operating across diversified sectors. It invests in growth stocks of companies across diversified market capitalization. It employs fundamental analysis to create its portfolio. It seeks to benchmark the performance of its portfolio against the FTSE Global All Cap Net Tax Index. The fund employs internal research to create its portfolio. Motley Fool Global Opportunities ETF was formed on June 16, 2009 and is domiciled in the United States.

Grade (RS Rating)

Last Trade

$30.25

Average Daily Volume

13,968

Number of Holdings *

25

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

Franklin LibertyQ U.S. Mid Cap Equity ETF

FLQM Description The investment seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the LibertyQ U.S. Mid Cap Equity Index (the U.S. Mid Cap underlying index). Under normal market conditions, the fund invests at least 80% of its assets in the component securities of the U.S. Mid Cap underlying index. The U.S. Mid Cap underlying index is based on the Russell Midcap® Index using a methodology developed with Franklin Templeton to reflect Franklin Templeton's desired investment strategy.

Grade (RS Rating)

Last Trade

$51.94

Average Daily Volume

110,907

Number of Holdings *

198

* may have additional holdings in another (foreign) market
Performance
Period TMFG FLQM
30 Days 3.60% 1.56%
60 Days 1.63% 0.20%
90 Days 2.82% 2.30%
12 Months 18.22% 14.93%
3 Overlapping Holdings
Symbol Grade Weight in TMFG Weight in FLQM Overlap
FAST D 1.93% 0.97% 0.97%
WAT D 1.47% 0.85% 0.85%
WSO B 3.9% 0.67% 0.67%
TMFG Overweight 22 Positions Relative to FLQM
Symbol Grade Weight
AMZN C 5.48%
AXON D 4.65%
WCN B 4.26%
GOOG C 4.23%
ICLR B 4.04%
MA D 3.43%
COST C 3.34%
CNI D 3.27%
RTO C 3.17%
TSM B 2.91%
AMT B 2.91%
EQIX C 2.55%
CRM F 2.48%
AON C 2.13%
CMCSA F 1.98%
MELI B 1.84%
SBUX F 1.8%
TEAM D 1.74%
BMRN C 1.63%
YUMC F 1.58%
DXCM D 1.42%
SBAC C 1.13%
TMFG Underweight 195 Positions Relative to FLQM
Symbol Grade Weight
FICO A -1.22%
IT C -1.09%
NTAP B -1.09%
AVB C -1.07%
EA B -1.06%
ODFL C -1.06%
FANG B -1.04%
MSCI C -1.02%
BAH B -1.02%
GWW D -1.01%
KR C -1.01%
PAYX F -1.0%
IDXX D -1.0%
GRMN C -1.0%
HPE B -0.99%
OTIS B -0.99%
DOV C -0.98%
DVN D -0.98%
MTD D -0.98%
CDW D -0.98%
HPQ C -0.97%
HIG C -0.97%
YUM F -0.96%
CHD D -0.96%
RMD D -0.96%
ALL D -0.96%
WSM C -0.95%
DHI C -0.94%
TSCO D -0.93%
AWK C -0.91%
LYB F -0.9%
SYF A -0.9%
DAL D -0.89%
PHM C -0.89%
SYY D -0.88%
BBY B -0.88%
LNG B -0.87%
EBAY B -0.87%
DECK D -0.87%
TER B -0.86%
ULTA D -0.85%
LII B -0.82%
TROW B -0.8%
OMC C -0.78%
EXPD B -0.77%
MANH C -0.77%
GDDY C -0.77%
CINF B -0.76%
GPC D -0.76%
STLD C -0.75%
VRSK B -0.74%
AVY D -0.74%
VRSN D -0.73%
NVR B -0.73%
BLDR F -0.71%
RS C -0.71%
NBIX B -0.68%
CMI C -0.68%
RF A -0.68%
ACGL D -0.68%
CLX D -0.67%
HSY D -0.63%
EG C -0.62%
TPL B -0.62%
ROL C -0.61%
UTHR B -0.6%
SNA D -0.6%
THC B -0.56%
MAS C -0.55%
DG D -0.55%
DKS C -0.54%
CF F -0.54%
BJ B -0.52%
RPM D -0.52%
OVV D -0.52%
VLTO D -0.51%
INCY B -0.51%
CASY B -0.51%
GGG D -0.51%
TXRH D -0.5%
VTRS C -0.5%
UHS B -0.49%
JNPR B -0.48%
NDSN D -0.48%
TPR C -0.47%
LECO F -0.46%
POOL F -0.46%
EHC B -0.46%
RPRX D -0.44%
CPT B -0.44%
ALLY A -0.43%
LKQ D -0.43%
LW F -0.42%
ELS C -0.42%
ALLE C -0.42%
SAIA D -0.42%
JBL F -0.42%
CHRW C -0.41%
WING D -0.41%
ACI F -0.41%
CW B -0.4%
APA D -0.39%
FFIV C -0.39%
LDOS B -0.38%
DCI D -0.37%
SKX D -0.37%
HRB C -0.37%
TTC C -0.36%
DOX D -0.36%
UNM D -0.36%
GL D -0.35%
TPX D -0.35%
BBWI F -0.34%
MUSA B -0.34%
ALSN B -0.33%
SEIC C -0.33%
UAL D -0.32%
BXP B -0.32%
KNSL F -0.32%
CROX D -0.31%
RL C -0.31%
TOL C -0.31%
NNN A -0.31%
MTG A -0.31%
CHE F -0.3%
DINO F -0.3%
EXPE C -0.29%
PAYC F -0.29%
K D -0.29%
RHI F -0.28%
CACI B -0.28%
EGP B -0.27%
VNT C -0.27%
ORI C -0.27%
LSTR F -0.26%
WPC C -0.25%
OGN C -0.25%
M C -0.25%
ACHC F -0.25%
WBA F -0.24%
CRUS B -0.24%
WU D -0.24%
CHRD D -0.23%
AM B -0.23%
AMG C -0.23%
DVA C -0.22%
SEE D -0.22%
STAG B -0.22%
G D -0.22%
R C -0.21%
PB C -0.21%
LAMR C -0.2%
DLB D -0.2%
FLO F -0.2%
AN C -0.2%
NFG C -0.19%
SON F -0.19%
OMF C -0.19%
BC D -0.19%
PII F -0.18%
JHG B -0.18%
MSM F -0.18%
VFC D -0.17%
AGO C -0.16%
LOPE C -0.15%
FOXA A -0.15%
MAN F -0.14%
DTM B -0.14%
CHH C -0.14%
CIVI D -0.14%
AYI D -0.14%
AVT C -0.13%
COKE C -0.13%
HIW B -0.13%
SOLV F -0.13%
NEU D -0.12%
KRC C -0.12%
JWN A -0.11%
CRI F -0.11%
IVZ C -0.11%
COLM D -0.11%
APPF B -0.11%
PAG C -0.11%
KSS D -0.1%
GPS C -0.09%
AWI C -0.09%
COLB C -0.08%
CNXC D -0.06%
WEN D -0.06%
CUZ B -0.06%
SNDR C -0.05%
CNA A -0.04%
SIRI D -0.04%
DDS B -0.03%
PLTK F -0.02%
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