TPMN vs. MDPL ETF Comparison

Comparison of The Timothy Plan Timothy Plan Market Neutral ETF (TPMN) to Monarch Dividend Plus Index ETF (MDPL)
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

$23.78

Average Daily Volume

2,294

Number of Holdings *

195

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

Monarch Dividend Plus Index ETF

MDPL Description MPDL tracks an equal-weighted index of 30 dividend-paying US stocks that are expected to provide dividend income and capital appreciation.

Grade (RS Rating)

Last Trade

$26.91

Average Daily Volume

5,272

Number of Holdings *

30

* may have additional holdings in another (foreign) market
Performance
Period TPMN MDPL
30 Days 0.36% 0.14%
60 Days 0.36% 2.44%
90 Days 0.45% 4.35%
12 Months -1.27%
6 Overlapping Holdings
Symbol Grade Weight in TPMN Weight in MDPL Overlap
AMCR D 3.49% 3.19% 3.19%
CABO B 3.01% 3.45% 3.01%
DG F 1.1% 3.06% 1.1%
OVV C 1.94% 3.42% 1.94%
SJM F 4.34% 3.28% 3.28%
SON F 4.52% 3.21% 3.21%
TPMN Overweight 189 Positions Relative to MDPL
Symbol Grade Weight
DTM A 8.15%
PNM B 8.14%
POR D 7.22%
DTE D 7.18%
SR C 7.02%
ED D 6.97%
NI A 6.86%
NWE C 6.84%
SO D 6.66%
JHG A 6.65%
PKG B 6.44%
CMS D 6.41%
APAM B 6.37%
ORI A 6.32%
EMN D 6.31%
AVA C 6.16%
NTB B 6.13%
PNW A 6.13%
BKH A 6.1%
FNB B 6.09%
PEG C 6.05%
NWBI B 6.0%
AM B 5.86%
OGS B 5.86%
JEF B 5.84%
KMI B 5.76%
KNTK B 5.66%
REYN D 5.62%
ENR A 5.57%
SFL D 5.55%
BRY F 5.5%
SWX B 5.26%
LNT C 5.2%
OKE A 5.1%
HOPE B 4.99%
WEC B 4.92%
WMB B 4.9%
OMF A 4.89%
CIVI D 4.87%
CCOI C 4.87%
LYB F 4.81%
OWL B 4.77%
EVRG A 4.74%
IDA A 4.64%
NAT F 4.58%
SASR A 4.57%
ETR B 4.56%
TRN B 4.45%
E F 4.45%
NWN B 4.42%
FLNG C 4.42%
PZZA D 4.35%
NFG D 4.35%
SXC B 4.22%
WU F 4.21%
NJR A 4.21%
SNV B 4.19%
CPB F 4.19%
DLX B 4.18%
FIBK B 4.17%
GBCI B 4.09%
WEN C 4.02%
DHT D 4.01%
UPBD B 3.99%
CRGY A 3.99%
CALM B 3.97%
INGR B 3.96%
SPTN F 3.95%
GNK C 3.91%
AEP D 3.88%
HNI B 3.87%
BPOP C 3.86%
SAFT B 3.85%
OGE B 3.84%
RGP D 3.84%
HRB D 3.82%
PB B 3.82%
FLO F 3.8%
IVZ B 3.79%
PPBI B 3.78%
NOG B 3.76%
PTEN C 3.73%
AGCO F 3.68%
FFBC B 3.66%
GOGL C 3.65%
SMG D 3.64%
DIN C 3.63%
LCII D 3.62%
SBSI B 3.6%
FDP B 3.59%
ETD D 3.58%
CTRA B 3.53%
NEE D 3.49%
PINC B 3.48%
RHI B 3.48%
PAX C 3.47%
OZK B 3.45%
MATW C 3.42%
HAFC B 3.4%
KALU C 3.4%
CHRD D 3.39%
AMRK F 3.38%
RYI B 3.37%
PDCO F 3.3%
STLA F 3.29%
VLO C 3.28%
BAX F 3.27%
UGI D 3.22%
MNRO B 3.17%
GTN F 3.17%
NPK B 3.16%
PSX C 3.15%
MOS D 3.12%
BKU A 3.1%
CVI F 3.09%
VIRT B 3.08%
BKE A 3.05%
BLMN F 3.04%
BLX A 3.03%
FHB B 3.01%
JACK C 3.0%
WSBC B 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 A 2.73%
DINO D 2.72%
MSM C 2.71%
DVN F 2.65%
HVT F 2.65%
FF D 2.61%
IP B 2.61%
VLY B 2.58%
FBP B 2.57%
GRMN A 2.55%
BG D 2.52%
KLG F 2.51%
ASC F 2.48%
KVUE A 2.46%
BOH B 2.46%
PLOW C 2.45%
CNH D 2.42%
HASI F 2.39%
LKQ C 2.36%
OCFC B 2.34%
CRI D 2.33%
R B 2.32%
ES D 2.32%
WSO B 2.29%
SWBI D 2.29%
EGY F 2.29%
IIIN C 2.28%
EBF C 2.26%
CWEN D 2.26%
MTN C 2.24%
PFG C 2.18%
HRL F 2.18%
TFSL A 2.15%
AXS A 2.12%
DCOM B 2.12%
EMBC C 2.09%
BBWI C 2.06%
BUSE B 1.97%
MOV C 1.93%
ACCO B 1.93%
PLTK B 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 B 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%
AESI F 1.07%
SHG D 1.05%
TPMN Underweight 24 Positions Relative to MDPL
Symbol Grade Weight
EQT B -3.67%
STLD C -3.55%
ALSN B -3.53%
CTSH A -3.5%
G B -3.5%
GPC D -3.48%
NXST C -3.42%
SSNC C -3.4%
WTW A -3.39%
KR A -3.36%
OC A -3.34%
ELV F -3.33%
TAP B -3.31%
FANG C -3.31%
GPK D -3.3%
CVS F -3.28%
CMCSA B -3.26%
RGLD C -3.25%
CI D -3.24%
MRK F -3.19%
MCHP F -3.19%
CAG F -3.14%
JNJ D -3.14%
MKTX C -3.06%
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