TMFX vs. RSPN ETF Comparison

Comparison of Motley Fool Next Index ETF (TMFX) to Invesco S&P 500 Equal Weight Industrials Portfolio (RSPN)
TMFX

Motley Fool Next Index ETF

TMFX Description

Motley Fool Next Index ETF is an exchange traded fund launched by The RBB Fund, Inc. The fund is managed by Motley Fool Asset Management, LLC. It invests in 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 companies across diversified market capitalization. The fund seeks to track the performance of the Motley Fool Next Index, by using full replication technique. The RBB Fund, Inc. - Motley Fool Next Index ETF is domiciled in the United States.

Grade (RS Rating)

Last Trade

$20.26

Average Daily Volume

9,628

Number of Holdings *

189

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

Invesco S&P 500 Equal Weight Industrials Portfolio

RSPN Description The fund generally will invest at least 90% of its total assets in securities that comprise the underlying index. The underlying index is composed of all of the components of the S&P 500® Industrials Index, an index that contains the common stocks of all companies included in the S&P 500® Index that are classified as members of the industrials sector, as defined according to the Global Industry Classification Standard (GICS).

Grade (RS Rating)

Last Trade

$53.87

Average Daily Volume

38,971

Number of Holdings *

77

* may have additional holdings in another (foreign) market
Performance
Period TMFX RSPN
30 Days 8.08% 3.90%
60 Days 9.36% 7.73%
90 Days 11.01% 10.76%
12 Months 34.46% 36.08%
7 Overlapping Holdings
Symbol Grade Weight in TMFX Weight in RSPN Overlap
AXON A 2.36% 1.86% 1.86%
BR A 1.38% 1.26% 1.26%
PAYC B 0.64% 1.52% 0.64%
ROL B 1.26% 1.17% 1.17%
TXT D 0.81% 1.12% 0.81%
VLTO C 1.32% 1.1% 1.1%
WAB B 1.78% 1.36% 1.36%
TMFX Overweight 182 Positions Relative to RSPN
Symbol Grade Weight
HUBS A 1.78%
HEI A 1.68%
TTWO A 1.67%
NET B 1.64%
LYV A 1.59%
CVNA B 1.57%
ALNY D 1.55%
TSCO D 1.55%
IOT A 1.43%
NVR D 1.41%
EQT B 1.37%
GDDY A 1.36%
TYL B 1.33%
WBD B 1.21%
TOST B 1.16%
MKL A 1.14%
CBOE C 1.12%
FSLR F 1.09%
UI B 1.05%
MKC C 1.04%
WSO A 1.03%
ZBRA B 1.03%
IBKR A 1.03%
PINS F 1.03%
FDS B 0.96%
PODD C 0.95%
DGX A 0.94%
SSNC B 0.94%
NTNX B 0.94%
RPM A 0.92%
ALGN D 0.89%
WSM C 0.88%
ULTA F 0.87%
XPO B 0.87%
MANH D 0.86%
PSTG D 0.84%
DOCU B 0.83%
VTRS A 0.81%
H B 0.8%
TWLO A 0.8%
JEF A 0.79%
CASY A 0.78%
COHR B 0.76%
SWKS F 0.7%
EPAM B 0.69%
CHWY B 0.69%
DUOL A 0.69%
TXRH B 0.68%
HLI A 0.67%
UHAL D 0.67%
JKHY D 0.65%
OKTA C 0.64%
KMX B 0.63%
NBIX C 0.62%
BMRN F 0.61%
SOLV D 0.6%
GME C 0.59%
GMED A 0.58%
ROKU D 0.56%
KNSL B 0.56%
MTZ B 0.56%
WCC B 0.52%
LKQ F 0.52%
WAL B 0.51%
EXEL B 0.51%
WING D 0.5%
RKLB A 0.5%
GTLB B 0.5%
DOCS C 0.5%
EXAS D 0.48%
SKX D 0.48%
RBC A 0.48%
CFLT B 0.46%
HQY A 0.46%
MASI B 0.45%
HAS D 0.45%
NYT D 0.45%
TTC C 0.44%
ENPH F 0.44%
PLNT A 0.43%
APPF B 0.43%
BWA D 0.41%
OLED F 0.41%
MTCH D 0.41%
SMAR B 0.4%
RHI C 0.39%
PEGA B 0.38%
FRPT A 0.38%
WEX D 0.38%
TREX C 0.38%
MIDD C 0.38%
U C 0.37%
PATH C 0.36%
RGEN D 0.36%
ELF C 0.36%
GTLS A 0.36%
GXO B 0.36%
MTN C 0.35%
ALK B 0.35%
DAR C 0.35%
LSTR D 0.34%
STAG D 0.34%
CGNX D 0.34%
MTH D 0.33%
UPST B 0.32%
RH C 0.31%
LFUS D 0.31%
CELH F 0.31%
BCPC B 0.3%
ETSY D 0.3%
QTWO A 0.3%
AMG B 0.29%
AVAV C 0.29%
VRNS D 0.29%
IONS F 0.28%
CRUS D 0.28%
PI D 0.26%
FIVE F 0.25%
BOX B 0.25%
AX B 0.24%
EEFT B 0.24%
UAA C 0.22%
BLKB B 0.22%
BBIO F 0.22%
RXO D 0.22%
SGBX F 0.2%
NNI D 0.2%
GH B 0.19%
SAM C 0.19%
WD D 0.19%
BL B 0.19%
PJT A 0.19%
BRZE C 0.18%
IPGP D 0.17%
SLAB F 0.17%
DOCN C 0.17%
NARI C 0.16%
ASAN B 0.16%
ALRM C 0.15%
APPN B 0.14%
TMDX F 0.14%
LMND B 0.13%
SPB C 0.13%
DFH D 0.13%
ROIC A 0.12%
PHIN A 0.12%
TRUP B 0.11%
MQ D 0.1%
UPWK B 0.1%
ZUO B 0.08%
TDOC C 0.08%
GDRX F 0.08%
TNC D 0.08%
TASK C 0.07%
PGNY F 0.07%
SAFT B 0.07%
STAA F 0.07%
WINA C 0.07%
NVEE F 0.07%
PLAY D 0.07%
XPEL B 0.06%
FSLY D 0.05%
PRLB B 0.05%
RDFN D 0.05%
CWH B 0.05%
EE A 0.04%
PUBM C 0.04%
HCSG C 0.04%
BAND B 0.03%
FLGT F 0.03%
ANAB F 0.03%
CLNE F 0.03%
SFIX B 0.02%
BOC C 0.02%
EBS C 0.02%
TSVT F 0.01%
CHGG C 0.01%
EDIT F 0.01%
IRBT F 0.01%
DBI F 0.01%
SNBR F 0.01%
BLUE F 0.0%
TMFX Underweight 70 Positions Relative to RSPN
Symbol Grade Weight
UAL A -2.12%
GEV B -1.7%
DAL B -1.65%
GNRC C -1.53%
SNA A -1.5%
EMR B -1.49%
DAY B -1.48%
PWR A -1.44%
CMI A -1.42%
J D -1.41%
HWM A -1.4%
PCAR B -1.39%
GWW B -1.39%
ETN A -1.38%
PH A -1.38%
FAST B -1.38%
PNR A -1.37%
JCI B -1.36%
AME A -1.36%
URI C -1.35%
IEX C -1.34%
TT A -1.33%
LUV C -1.33%
CPRT B -1.33%
IR B -1.32%
HON C -1.32%
ODFL C -1.31%
CAT B -1.31%
HUBB B -1.3%
CHRW B -1.3%
JBHT C -1.29%
DOV A -1.28%
ITW B -1.27%
ADP A -1.27%
ROK C -1.27%
NSC B -1.26%
OTIS C -1.26%
UPS C -1.25%
LHX C -1.25%
PAYX B -1.24%
WM B -1.24%
CTAS B -1.23%
VRSK A -1.23%
CSX C -1.23%
FDX B -1.22%
LDOS C -1.21%
DE B -1.21%
FTV C -1.2%
RSG A -1.2%
NDSN B -1.19%
EXPD C -1.18%
RTX D -1.18%
GE D -1.17%
ALLE C -1.16%
BLDR D -1.15%
MMM D -1.15%
CARR C -1.14%
UBER F -1.13%
MAS D -1.13%
GD D -1.11%
NOC D -1.11%
UNP C -1.11%
LMT D -1.1%
XYL D -1.1%
TDG D -1.08%
BA F -1.08%
AOS F -1.06%
SWK D -1.01%
EFX F -0.94%
HII F -0.89%
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