TSPA vs. IQDF ETF Comparison

Comparison of T. Rowe Price U.S. Equity Research ETF (TSPA) to FlexShares International Quality Dividend Index Fund (IQDF)
TSPA

T. Rowe Price U.S. Equity Research ETF

TSPA Description

Blue Safari Group Acquisition Corp. intends to acquire assets and businesses through a merger, share exchange, share purchase, reorganization, or similar business combination. It focuses on pursuing opportunities in fintech, infotech, insurtech, and business services. The company was incorporated in 2021 and is based in Central, Hong Kong.

Grade (RS Rating)

Last Trade

$37.49

Average Daily Volume

114,330

Number of Holdings *

342

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

FlexShares International Quality Dividend Index Fund

IQDF Description The investment seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Northern Trust International Quality Dividend IndexSM. The fund generally will invest under normal circumstances at least 80% of its total assets in the securities of the underlying index and in ADRs and GDRs based on the securities in its underlying index. The underlying index is designed to provide exposure to a high-quality, income-oriented portfolio of international equity securities issued by non-U.S.-based companies, with an emphasis on long-term capital growth and a targeted overall volatility.

Grade (RS Rating)

Last Trade

$24.42

Average Daily Volume

39,786

Number of Holdings *

12

* may have additional holdings in another (foreign) market
Performance
Period TSPA IQDF
30 Days 1.66% -4.49%
60 Days 4.50% -3.78%
90 Days 5.68% -4.57%
12 Months 33.21% 15.00%
1 Overlapping Holdings
Symbol Grade Weight in TSPA Weight in IQDF Overlap
CNI F 0.02% 0.03% 0.02%
TSPA Overweight 341 Positions Relative to IQDF
Symbol Grade Weight
AAPL C 7.37%
MSFT D 6.73%
NVDA B 6.08%
AMZN C 3.66%
META D 2.67%
GOOG C 2.14%
LLY F 1.9%
AVGO D 1.69%
TSLA B 1.59%
GOOGL C 1.48%
BRK.A B 1.23%
UNH B 1.2%
JPM A 1.16%
XOM B 1.12%
V A 1.1%
HD B 0.9%
MA B 0.89%
NFLX A 0.8%
COST A 0.8%
CRM B 0.79%
PG C 0.78%
WMT A 0.76%
TMUS B 0.76%
LIN C 0.7%
JNJ C 0.68%
KO D 0.68%
TMO F 0.66%
ACN B 0.65%
ABBV F 0.62%
BAC A 0.61%
PM B 0.56%
GE D 0.56%
AMD F 0.55%
MCD D 0.55%
MRK D 0.55%
QCOM F 0.55%
ORCL A 0.53%
NEE C 0.51%
PEP F 0.51%
ADBE C 0.49%
FI A 0.49%
ISRG A 0.48%
CB C 0.48%
CVX A 0.47%
DHR F 0.46%
TXN C 0.46%
UBER F 0.44%
AMGN F 0.44%
KLAC F 0.43%
CMCSA B 0.42%
COP C 0.42%
C A 0.42%
SYK B 0.39%
AXP A 0.37%
ELV F 0.37%
WFC A 0.37%
FTNT C 0.36%
INTU B 0.36%
SCHW B 0.35%
CSX C 0.35%
PCG A 0.33%
AMT C 0.33%
SPGI C 0.33%
HON C 0.32%
CSCO B 0.32%
CI D 0.32%
SWK D 0.32%
REGN F 0.31%
BKNG A 0.31%
CMI A 0.31%
LOW C 0.3%
ALL A 0.3%
ADI D 0.3%
KDP F 0.3%
KVUE A 0.3%
GS A 0.29%
BDX F 0.29%
CPAY A 0.29%
ODFL C 0.28%
PLD F 0.28%
HIG B 0.28%
CEG C 0.27%
NOC D 0.27%
ROP B 0.27%
CMG B 0.27%
ICE C 0.26%
MET A 0.26%
MS A 0.26%
EQIX A 0.26%
AIG B 0.26%
MMC B 0.25%
GEV B 0.25%
BA F 0.24%
MPC D 0.24%
DE B 0.24%
XEL A 0.23%
BSX A 0.23%
NVR D 0.23%
IBM C 0.23%
PFE F 0.22%
CL D 0.22%
CARR C 0.21%
NSC B 0.21%
SHW B 0.21%
WELL A 0.21%
BLK B 0.21%
TJX A 0.2%
ZBH C 0.2%
CRBG B 0.2%
SNPS B 0.2%
SO C 0.2%
DIS B 0.2%
RTX D 0.2%
KEYS A 0.2%
EOG A 0.2%
SLB C 0.19%
LHX C 0.19%
KKR A 0.19%
CDNS B 0.19%
ADSK A 0.19%
ABT B 0.19%
FCX F 0.19%
AEE A 0.19%
GEN B 0.18%
PSA C 0.18%
HLT A 0.18%
MCK A 0.18%
GPN B 0.18%
RCL A 0.18%
VRTX D 0.18%
ROK C 0.18%
MTD F 0.17%
NVO F 0.17%
ORLY B 0.17%
TGT F 0.17%
ROST D 0.17%
TDY B 0.17%
VOYA B 0.17%
SAIA B 0.16%
MCO B 0.16%
TDG D 0.16%
HUBB B 0.16%
HWM A 0.16%
MRVL B 0.16%
MDLZ F 0.16%
MAR A 0.16%
BK A 0.16%
RNR C 0.16%
ZBRA B 0.15%
FDX B 0.15%
AZO C 0.15%
CAT B 0.15%
THC D 0.15%
TT A 0.14%
FITB B 0.14%
VMC B 0.14%
ATO A 0.14%
ANET C 0.14%
LVS B 0.14%
CBOE C 0.14%
REXR F 0.14%
GILD C 0.14%
BMY B 0.13%
ESS B 0.13%
TW A 0.13%
CPRT B 0.13%
HBAN A 0.13%
STLD B 0.13%
WM B 0.13%
DFS B 0.13%
ENTG D 0.12%
COR B 0.12%
STZ D 0.12%
HOLX D 0.12%
ARES A 0.12%
FANG C 0.12%
DXCM C 0.11%
WYNN C 0.11%
VRSK A 0.11%
BURL B 0.11%
LULU C 0.11%
CRWD B 0.11%
WCN A 0.11%
WFG C 0.11%
APH A 0.11%
TRV B 0.11%
ABNB C 0.11%
BALL F 0.11%
WDC D 0.11%
IR B 0.11%
MOH F 0.11%
FICO B 0.11%
CF A 0.1%
CTAS B 0.1%
PANW B 0.1%
DOV A 0.1%
KMI A 0.1%
BIIB F 0.1%
SBUX A 0.1%
PKG A 0.1%
MDT D 0.1%
ETR B 0.1%
ZTS D 0.09%
KMB C 0.09%
JCI B 0.09%
EFX F 0.09%
HAL C 0.09%
DPZ C 0.09%
MPWR F 0.09%
DG F 0.09%
WING D 0.08%
CMS C 0.08%
DGX A 0.08%
FE C 0.08%
BX A 0.08%
VST A 0.08%
ICLR D 0.08%
NKE F 0.08%
FTV C 0.08%
PNC B 0.08%
USB A 0.08%
EQH C 0.08%
RGEN D 0.08%
SITE F 0.07%
AVB B 0.07%
PSX C 0.07%
MNST C 0.07%
EA A 0.07%
CBRE B 0.07%
IEX C 0.07%
AZN F 0.07%
WMB A 0.07%
VZ C 0.07%
APO B 0.07%
HUM C 0.07%
EMR B 0.07%
EXC C 0.07%
SUI C 0.07%
VLO C 0.07%
NOW A 0.06%
MO A 0.06%
SPG A 0.06%
EVRG A 0.06%
MOS F 0.06%
EW C 0.06%
LPLA A 0.06%
PSTG D 0.06%
CNP A 0.06%
EQT B 0.06%
T A 0.06%
IDXX F 0.06%
SPOT B 0.06%
DT D 0.06%
TRGP A 0.06%
PGR A 0.06%
LMT D 0.06%
NCLH B 0.05%
GM C 0.05%
IP A 0.05%
WAL B 0.05%
KEY B 0.05%
UAL A 0.05%
KIM A 0.05%
SHOP B 0.05%
DAL B 0.05%
AXS A 0.05%
ESAB C 0.05%
HCA F 0.05%
HES B 0.05%
BGNE D 0.05%
D C 0.05%
VRT B 0.05%
CVS D 0.04%
CUBE C 0.04%
IT C 0.04%
FDS B 0.04%
ON D 0.04%
CLX A 0.04%
ZS B 0.04%
SRE A 0.04%
DUK C 0.04%
TPG A 0.04%
REG A 0.04%
GIS D 0.04%
CSGP D 0.04%
BPOP C 0.04%
AMH C 0.04%
EL F 0.04%
DVN F 0.04%
SYY D 0.04%
SNY F 0.04%
RSG A 0.03%
BR A 0.03%
IQV F 0.03%
CAH B 0.03%
BAH F 0.03%
MSCI C 0.03%
TSN B 0.03%
GD D 0.03%
LRCX F 0.03%
TFC A 0.03%
AMAT F 0.02%
ST F 0.02%
SBAC D 0.02%
CPB D 0.02%
YUM D 0.02%
K A 0.02%
BBWI C 0.02%
HII F 0.02%
WY F 0.02%
MCHP F 0.02%
NI A 0.02%
ELAN D 0.02%
ULTA F 0.02%
NXPI D 0.02%
RPM A 0.02%
APTV F 0.02%
EWBC A 0.02%
AME A 0.02%
PPL A 0.02%
MU D 0.02%
ALLY C 0.02%
WDAY B 0.02%
KHC F 0.02%
EXR C 0.01%
EBAY D 0.01%
LUV C 0.01%
F C 0.01%
INTC C 0.01%
TER F 0.01%
XYL D 0.01%
LSCC D 0.01%
RIVN F 0.01%
CCI C 0.01%
JBHT C 0.01%
VTRS A 0.01%
MRNA F 0.0%
FSLR F 0.0%
CPT B 0.0%
CRL D 0.0%
VLTO C 0.0%
TSPA Underweight 11 Positions Relative to IQDF
Symbol Grade Weight
NVS F -1.89%
MUFG B -0.54%
HSBH B -0.54%
BCS A -0.48%
SMFG B -0.4%
BABA D -0.3%
STLA F -0.27%
UMC F -0.23%
AGCO D -0.21%
VALE F -0.2%
UL D -0.08%
Compare ETFs