TPMN vs. IPO ETF Comparison

Comparison of The Timothy Plan Timothy Plan Market Neutral ETF (TPMN) to Renaissance IPO ETF (IPO)
TPMN

The Timothy Plan Timothy Plan Market Neutral ETF

TPMN Description

The adviser pursues the fund's investment objective by implementing a proprietary, "market neutral" investment strategy designed to seek income from the fund's investments while maintaining a low correlation to the foreign and domestic equity and bond markets. The adviser uses a multi-strategy approach. The fund will be actively managed, meaning that the sub-advisor may make changes to the fund's portfolio at any time.

Grade (RS Rating)

Last Trade

$23.94

Average Daily Volume

2,402

Number of Holdings *

195

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

Renaissance IPO ETF

IPO Description The investment seeks to replicate as closely as possible, before fees and expenses, the price and yield performance of the Renaissance IPO Index (the "index"). The fund normally invests at least 80% of its total assets in securities that comprise the fund's benchmark index, the Renaissance IPO Index. The remaining 20% may be used to purchase securities not in the index that are an appropriate substitute for certain securities in the index in order to track the index. The index is comprised of common stocks, American Depositary Receipts ("ADRs"), real estate investment trusts ("REITS") and master limited partnerships ("MLPs"). The fund is non-diversified.

Grade (RS Rating)

Last Trade

$44.74

Average Daily Volume

24,512

Number of Holdings *

17

* may have additional holdings in another (foreign) market
Performance
Period TPMN IPO
30 Days 1.32% -0.16%
60 Days 0.90% 2.57%
90 Days 1.47% 9.41%
12 Months -0.12% 34.62%
1 Overlapping Holdings
Symbol Grade Weight in TPMN Weight in IPO Overlap
KVUE A 2.46% 9.28% 2.46%
TPMN Overweight 194 Positions Relative to IPO
Symbol Grade Weight
DTM A 8.15%
PNM B 8.14%
POR C 7.22%
DTE C 7.18%
SR A 7.02%
ED D 6.97%
NI A 6.86%
NWE C 6.84%
SO C 6.66%
JHG A 6.65%
PKG B 6.44%
CMS C 6.41%
APAM A 6.37%
ORI A 6.32%
EMN C 6.31%
AVA C 6.16%
NTB B 6.13%
PNW A 6.13%
BKH A 6.1%
FNB A 6.09%
PEG C 6.05%
NWBI A 6.0%
AM A 5.86%
OGS A 5.86%
JEF A 5.84%
KMI A 5.76%
KNTK A 5.66%
REYN D 5.62%
ENR A 5.57%
SFL D 5.55%
BRY F 5.5%
SWX A 5.26%
LNT A 5.2%
OKE A 5.1%
HOPE B 4.99%
WEC A 4.92%
WMB A 4.9%
OMF A 4.89%
CIVI C 4.87%
CCOI B 4.87%
LYB F 4.81%
OWL A 4.77%
EVRG A 4.74%
IDA A 4.64%
NAT F 4.58%
SASR A 4.57%
ETR A 4.56%
SON D 4.52%
TRN A 4.45%
E D 4.45%
NWN A 4.42%
FLNG C 4.42%
PZZA D 4.35%
NFG A 4.35%
SJM D 4.34%
SXC A 4.22%
WU F 4.21%
NJR A 4.21%
SNV B 4.19%
CPB D 4.19%
DLX A 4.18%
FIBK A 4.17%
GBCI A 4.09%
WEN C 4.02%
DHT D 4.01%
UPBD C 3.99%
CRGY A 3.99%
CALM A 3.97%
INGR B 3.96%
SPTN F 3.95%
GNK C 3.91%
AEP C 3.88%
HNI B 3.87%
BPOP D 3.86%
SAFT B 3.85%
OGE A 3.84%
RGP F 3.84%
HRB D 3.82%
PB A 3.82%
FLO D 3.8%
IVZ B 3.79%
PPBI B 3.78%
NOG A 3.76%
PTEN C 3.73%
AGCO D 3.68%
FFBC A 3.66%
GOGL C 3.65%
SMG D 3.64%
DIN C 3.63%
LCII D 3.62%
SBSI B 3.6%
FDP A 3.59%
ETD D 3.58%
CTRA A 3.53%
NEE C 3.49%
AMCR D 3.49%
PINC B 3.48%
RHI C 3.48%
PAX C 3.47%
OZK A 3.45%
MATW C 3.42%
HAFC A 3.4%
KALU C 3.4%
CHRD D 3.39%
AMRK F 3.38%
RYI C 3.37%
PDCO D 3.3%
STLA F 3.29%
VLO C 3.28%
BAX F 3.27%
UGI C 3.22%
MNRO B 3.17%
GTN F 3.17%
NPK C 3.16%
PSX C 3.15%
MOS D 3.12%
BKU A 3.1%
CVI D 3.09%
VIRT A 3.08%
BKE A 3.05%
BLMN F 3.04%
BLX B 3.03%
CABO C 3.01%
FHB B 3.01%
JACK C 3.0%
WSBC A 2.94%
PII F 2.92%
BRKL B 2.92%
APA F 2.89%
STRA C 2.83%
REPX A 2.75%
MAN F 2.75%
LEA F 2.74%
VRTS B 2.73%
COLB B 2.73%
DINO D 2.72%
MSM D 2.71%
DVN F 2.65%
HVT D 2.65%
FF F 2.61%
IP A 2.61%
VLY A 2.58%
FBP B 2.57%
GRMN B 2.55%
BG D 2.52%
KLG D 2.51%
ASC F 2.48%
BOH B 2.46%
PLOW D 2.45%
CNH C 2.42%
HASI F 2.39%
LKQ F 2.36%
OCFC A 2.34%
CRI F 2.33%
R B 2.32%
ES C 2.32%
WSO A 2.29%
SWBI D 2.29%
EGY F 2.29%
IIIN C 2.28%
EBF D 2.26%
CWEN C 2.26%
MTN C 2.24%
PFG A 2.18%
HRL F 2.18%
TFSL B 2.15%
AXS A 2.12%
DCOM A 2.12%
EMBC C 2.09%
BBWI C 2.06%
BUSE B 1.97%
OVV C 1.94%
MOV C 1.93%
ACCO B 1.93%
PLTK A 1.89%
FMC F 1.84%
DDS B 1.82%
SKM D 1.76%
HUN F 1.75%
SCCO F 1.73%
METC C 1.67%
NEM F 1.61%
GRNT A 1.59%
NWL B 1.57%
PAYX B 1.56%
XP F 1.56%
GLNG C 1.25%
MTG C 1.22%
UWMC F 1.17%
FAF C 1.13%
BGS F 1.1%
DG F 1.1%
AESI B 1.07%
SHG D 1.05%
TPMN Underweight 16 Positions Relative to IPO
Symbol Grade Weight
NU C -9.95%
ARM F -8.6%
RIVN F -6.46%
CRBG B -5.74%
GTLB C -4.71%
TPG A -3.62%
HCP B -3.13%
GFS C -2.72%
RDDT A -2.19%
RBRK B -1.62%
BRZE C -1.56%
INFA D -1.34%
BIRK D -1.15%
FLNC D -0.8%
BLCO B -0.52%
ZK C -0.4%
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