TRFM vs. IMCG ETF Comparison

Comparison of AAM Transformers ETF (TRFM) to iShares Morningstar Mid-Cap Growth ETF (IMCG)
TRFM

AAM Transformers ETF

TRFM Description

AAM Transformers ETF is an exchange traded fund launched by ETF Series Solutions. The fund is co-managed by Advisors Asset Management, Inc. and Vident Investment Advisory, LLC. It invests in public equity markets of the United States. It invests in stocks of companies operating across aerospace & defense, electronic components, IT consulting & other services, alternative carriers, electronic equipment & instruments, oil & gas refining & marketing, application software, heavy electrical equipment, independent power and renewable electricity producers, automobile manufacturers, hotels, resorts & cruise lines and leisure, semiconductors and semiconductor equipment, communications equipment, industrial machinery, consumer electronics, interactive home entertainment, specialty chemicals, copper, interactive media & services, systems software, data processing & outsourced services, internet & direct marketing retail, technology hardware and equipment, storage & peripherals, electrical components & equipment, internet services & infrastructure, trucking, communication services, media and entertainment, telecommunication services, diversified telecommunication services, consumer discretionary, automobiles and components, consumer durables and apparel, household durables, consumer services, retailing, energy, oil, gas and consumable fuels, industrials, capital goods, machinery, transportation, road and rail, information technology, software and services, IT services, materials, chemicals, metals and mining, and utilities sectors. The fund invests in growth and value stocks of companies across diversified market capitalization. The fund seeks to track the performance of the Pence Transformers Index, by using full replication technique. AAM Transformers ETF is domiciled in the United States.

Grade (RS Rating)

Last Trade

$38.79

Average Daily Volume

3,021

Number of Holdings *

173

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

iShares Morningstar Mid-Cap Growth ETF

IMCG Description The investment seeks to track the investment results of the Morningstar® US Mid Cap Broad Growth IndexSM composed of mid-capitalization U.S. equities that exhibit growth characteristics. The fund generally invests at least 90% of its assets in securities of the underlying index and in depositary receipts representing securities of the underlying index. The underlying index measures the performance of stocks issued by mid-capitalization companies that have exhibited above-average "growth" characteristics as determined by Morningstar, Inc.'s ("Morningstar" or the "index provider") proprietary index methodology.

Grade (RS Rating)

Last Trade

$79.27

Average Daily Volume

131,085

Number of Holdings *

299

* may have additional holdings in another (foreign) market
Performance
Period TRFM IMCG
30 Days 9.13% 6.52%
60 Days 14.21% 9.36%
90 Days 15.16% 11.15%
12 Months 35.62% 33.38%
40 Overlapping Holdings
Symbol Grade Weight in TRFM Weight in IMCG Overlap
ADSK A 0.68% 1.12% 0.68%
AME A 0.65% 0.78% 0.65%
APP B 1.83% 1.05% 1.05%
AXON A 0.92% 0.75% 0.75%
CPAY A 0.67% 0.33% 0.33%
CPNG D 0.64% 0.33% 0.33%
DASH B 0.77% 0.91% 0.77%
DDOG A 0.65% 0.65% 0.65%
DT D 0.27% 0.25% 0.25%
ENTG D 0.25% 0.16% 0.16%
FICO B 0.74% 0.97% 0.74%
FSLR F 0.48% 0.34% 0.34%
FTNT C 0.71% 1.07% 0.71%
FTV C 0.59% 0.32% 0.32%
GEV B 0.92% 0.82% 0.82%
HEI A 0.6% 0.28% 0.28%
HEI A 0.6% 0.2% 0.2%
HUBB B 0.31% 0.41% 0.31%
HUBS A 0.78% 0.6% 0.6%
HWM A 0.69% 0.8% 0.69%
MDB B 0.58% 0.35% 0.35%
MPWR F 0.41% 0.47% 0.41%
NDSN B 0.27% 0.23% 0.23%
NET B 0.68% 0.47% 0.47%
NTNX B 0.3% 0.3% 0.3%
NVT B 0.32% 0.21% 0.21%
PCOR B 0.34% 0.1% 0.1%
PINS F 0.56% 0.16% 0.16%
PTC B 0.3% 0.4% 0.3%
RBLX C 0.66% 0.46% 0.46%
SMCI F 0.29% 0.16% 0.16%
SNAP D 0.33% 0.2% 0.2%
SQ A 0.76% 0.81% 0.76%
TEAM A 0.77% 0.66% 0.66%
TER F 0.22% 0.14% 0.14%
TTWO A 0.63% 0.51% 0.51%
TYL B 0.58% 0.44% 0.44%
VST A 1.06% 0.5% 0.5%
WDAY B 0.59% 0.96% 0.59%
ZS B 0.74% 0.32% 0.32%
TRFM Overweight 134 Positions Relative to IMCG
Symbol Grade Weight
TSLA B 1.22%
NVDA B 1.12%
CRM B 1.1%
ORCL A 1.05%
ETN A 1.02%
AVGO D 1.0%
NOW A 0.99%
AMZN C 0.98%
PANW B 0.94%
GOOGL C 0.93%
META D 0.91%
INTU B 0.89%
MA B 0.86%
V A 0.86%
SHOP B 0.84%
IBM C 0.83%
MSFT D 0.83%
RKLB A 0.82%
TXN C 0.82%
AMD F 0.81%
UBER F 0.8%
AAPL C 0.79%
CRWD B 0.78%
ADBE C 0.74%
MRVL B 0.74%
EMR B 0.72%
ANET C 0.69%
SE A 0.67%
CDNS B 0.67%
SNOW B 0.66%
APH A 0.66%
SNPS B 0.66%
IOT A 0.65%
ABNB C 0.64%
TCOM B 0.64%
MU D 0.63%
PDD F 0.6%
RDDT A 0.59%
GFS C 0.58%
TSM B 0.58%
TDG D 0.57%
ARM F 0.56%
STX C 0.55%
LRCX F 0.55%
SAP B 0.53%
ACN B 0.53%
ABBV F 0.51%
KLAC F 0.5%
ZK D 0.49%
MELI C 0.48%
BA F 0.48%
CLSK C 0.47%
CRDO B 0.47%
ASML F 0.44%
LITE B 0.43%
PAY A 0.43%
TOST B 0.43%
LYFT C 0.41%
MARA B 0.41%
BILL A 0.41%
XPEV C 0.4%
GTLS A 0.39%
SITM B 0.39%
COHR B 0.38%
GRAB A 0.38%
RBRK A 0.37%
CFLT B 0.37%
BILI D 0.36%
AFRM A 0.36%
VERX A 0.36%
RMBS B 0.36%
GNRC C 0.35%
FOUR A 0.34%
MTSI B 0.34%
BE B 0.34%
EXLS B 0.33%
GLBE B 0.33%
GDS C 0.33%
S B 0.32%
CWAN B 0.32%
AI B 0.32%
ALKT B 0.32%
AVAV C 0.31%
AGYS A 0.31%
IPGP D 0.31%
GLOB B 0.31%
LI F 0.31%
FLYW B 0.31%
SMTC B 0.31%
BMI B 0.3%
ERJ A 0.3%
PI D 0.3%
ITT A 0.3%
AEIS C 0.3%
MNDY C 0.29%
GTLB B 0.29%
FROG C 0.29%
WWD C 0.28%
FLNC D 0.28%
CLBT B 0.28%
DCI B 0.28%
CYBR A 0.28%
AMBA B 0.28%
EVTC B 0.28%
BZ F 0.28%
APPF B 0.27%
SMAR B 0.27%
DLO C 0.27%
CGNX D 0.27%
POWI F 0.27%
ORA B 0.27%
ASX D 0.27%
ENS F 0.26%
AY A 0.26%
BRZE C 0.26%
SYNA C 0.26%
SLAB F 0.25%
SPSC D 0.25%
HCP B 0.25%
STNE F 0.24%
ALGM D 0.24%
FORM D 0.24%
AIN C 0.24%
OLED F 0.23%
RIVN F 0.23%
SPR D 0.23%
ONTO F 0.23%
NIO F 0.23%
PAGS F 0.22%
AES F 0.21%
UMC F 0.21%
MQ D 0.2%
ZETA D 0.18%
RUN F 0.14%
TRFM Underweight 259 Positions Relative to IMCG
Symbol Grade Weight
PLTR B -2.29%
HLT A -1.06%
COIN C -1.05%
GWW B -0.92%
TTD B -0.92%
AZO C -0.92%
CPRT B -0.86%
FAST B -0.82%
MSCI C -0.82%
PWR A -0.82%
PAYX B -0.81%
ROST D -0.8%
VRT B -0.76%
DLR B -0.74%
ODFL C -0.72%
IR B -0.72%
HES B -0.71%
EW C -0.71%
IT C -0.7%
VRSK A -0.7%
RCL A -0.66%
VMC B -0.65%
A D -0.65%
SYY D -0.65%
AMP A -0.65%
YUM D -0.65%
CARR C -0.64%
MLM C -0.63%
MSTR B -0.63%
LULU C -0.62%
IDXX F -0.61%
WAB B -0.6%
RMD C -0.6%
JCI B -0.58%
CMI A -0.58%
ROK C -0.57%
VEEV C -0.55%
ARES A -0.54%
DXCM C -0.53%
EFX F -0.53%
ALNY D -0.52%
CSGP D -0.51%
XYL D -0.51%
ANSS B -0.5%
EA A -0.49%
FCNCA A -0.48%
NEM D -0.47%
BR A -0.47%
CHD A -0.47%
BRO B -0.47%
DECK A -0.47%
TPL A -0.46%
URI C -0.46%
TRV B -0.45%
DFS B -0.44%
MTD F -0.44%
PSA C -0.44%
CBRE B -0.43%
GDDY A -0.43%
CDW F -0.42%
SBAC D -0.42%
TEL B -0.42%
OTIS C -0.42%
LPLA A -0.41%
EME A -0.41%
WST C -0.4%
COR B -0.39%
IQV F -0.39%
ALL A -0.38%
BKR A -0.38%
STE D -0.38%
D C -0.37%
TSCO D -0.37%
ILMN C -0.37%
CSL C -0.36%
STZ D -0.36%
GRMN B -0.36%
DOV A -0.34%
INVH D -0.34%
LII A -0.34%
LVS B -0.34%
PCG A -0.33%
LYV A -0.33%
IBKR A -0.33%
TRGP A -0.32%
WSO A -0.32%
PODD C -0.32%
RJF A -0.32%
FDS B -0.32%
TRU D -0.32%
DAL B -0.32%
NTRA A -0.31%
IRM C -0.3%
BURL B -0.3%
FWONK A -0.3%
IEX C -0.3%
CTVA C -0.3%
O C -0.29%
HOOD B -0.29%
MANH D -0.29%
WTW B -0.28%
FIX A -0.28%
AVB B -0.28%
KMB C -0.28%
DOCU B -0.28%
DD C -0.28%
TWLO A -0.28%
SUI C -0.27%
EQT B -0.27%
VRSN C -0.27%
BAH F -0.26%
ROL B -0.26%
LNG A -0.26%
EL F -0.26%
PSTG D -0.26%
TW A -0.26%
DPZ C -0.26%
ZBRA B -0.26%
DELL B -0.26%
GGG B -0.26%
COO D -0.25%
HAL C -0.25%
MCHP F -0.25%
VLTO C -0.25%
GEHC D -0.25%
WAT C -0.24%
MKL A -0.24%
SAIA B -0.24%
HSY F -0.24%
PFGC B -0.23%
AWK C -0.23%
DOW F -0.23%
CLX A -0.23%
CLH C -0.22%
NTAP C -0.22%
JKHY D -0.22%
PNR A -0.22%
KEYS A -0.21%
EXPE B -0.21%
GPN B -0.21%
NBIX C -0.21%
LECO C -0.21%
OKTA C -0.21%
BMRN F -0.21%
TDY B -0.21%
AMH C -0.21%
KIM A -0.21%
NDAQ A -0.21%
ACGL C -0.21%
KDP F -0.21%
EXR C -0.21%
XPO B -0.2%
EBAY D -0.2%
PPG F -0.2%
PHM D -0.2%
TRMB B -0.2%
RPM A -0.2%
ZBH C -0.2%
DAY B -0.2%
J D -0.2%
TECH F -0.19%
ALGN D -0.19%
LW C -0.19%
FND D -0.19%
TTEK F -0.19%
WRB A -0.19%
BALL F -0.19%
PAYC B -0.19%
ON D -0.18%
EQR C -0.18%
BLDR D -0.18%
ERIE D -0.18%
WSM C -0.18%
CASY A -0.18%
DKNG B -0.18%
SRPT F -0.17%
MOH F -0.17%
CHDN B -0.17%
MKC C -0.17%
DRI B -0.17%
ACM B -0.16%
GEN B -0.16%
TSN B -0.16%
VTR B -0.16%
MORN B -0.16%
CINF A -0.16%
EXAS D -0.16%
ESS B -0.16%
WMS F -0.16%
JBHT C -0.16%
WING D -0.16%
ULTA F -0.15%
LUV C -0.15%
WYNN C -0.15%
LDOS C -0.15%
TXT D -0.14%
MEDP D -0.14%
JBL C -0.14%
ELS C -0.14%
AVY F -0.14%
ENPH F -0.14%
UDR B -0.14%
AVTR F -0.14%
ALLE C -0.13%
GPC D -0.13%
MAS D -0.13%
USFD A -0.13%
CTRA B -0.13%
CNM D -0.13%
POOL C -0.12%
KMX B -0.12%
NRG B -0.12%
AZPN A -0.12%
SCI B -0.12%
INCY C -0.12%
EPAM B -0.12%
MAA B -0.12%
CMS C -0.12%
SWK D -0.11%
CRL D -0.11%
AOS F -0.11%
BSY F -0.11%
APTV F -0.11%
RRX B -0.11%
ALB B -0.11%
SNA A -0.11%
BLD D -0.11%
UHS D -0.1%
CPT B -0.1%
FFIV B -0.1%
TOL B -0.1%
RVTY F -0.1%
DLTR F -0.1%
AKAM D -0.1%
FLEX B -0.09%
U C -0.09%
DKS D -0.09%
MRNA F -0.09%
CE F -0.08%
HII F -0.08%
BJ A -0.08%
REG A -0.08%
ARE F -0.08%
BRKR D -0.08%
AFG A -0.07%
DVA C -0.07%
CCK D -0.07%
MGM D -0.07%
CELH F -0.07%
TFX F -0.06%
QRVO F -0.06%
UHAL D -0.05%
HRL D -0.05%
WTRG B -0.05%
COTY F -0.04%
ALAB B -0.04%
FWONA A -0.03%
WLK D -0.03%
UHAL D -0.0%
Compare ETFs