TYLG vs. IXN ETF Comparison

Comparison of Global X Information Technology Covered Call & Growth ETF (TYLG) to iShares Global Tech ETF (IXN)
TYLG

Global X Information Technology Covered Call & Growth ETF

TYLG Description

The index measures the performance of a partially covered call strategy that holds a theoretical portfolio of the securities of the Information Technology Select Sector Index. The fund invests in the securities reflected in theindex or in investments that have economic characteristics that are substantially identical to the economic characteristics of such component securities and cannot invest directly in the index itself. It is non-diversified.

Grade (RS Rating)

Last Trade

$33.29

Average Daily Volume

2,207

Number of Holdings *

68

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

iShares Global Tech ETF

IXN Description The investment seeks to track the investment results of an index composed of global equities in the technology sector. 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. It seeks to track the investment results of the S&P Global 1200 Information Technology IndexTM, which measures the performance of companies that S&P Dow Jones Indices LLC ("S&P"), a subsidiary of McGraw Hill Financial, Inc., deems to be part of the information technology sector of the economy and that S&P believes are important to global markets. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$81.84

Average Daily Volume

179,831

Number of Holdings *

70

* may have additional holdings in another (foreign) market
Performance
Period TYLG IXN
30 Days 0.30% -1.23%
60 Days 4.44% 1.93%
90 Days 5.06% 0.21%
12 Months 21.59% 27.02%
68 Overlapping Holdings
Symbol Grade Weight in TYLG Weight in IXN Overlap
AAPL C 6.53% 18.28% 6.53%
ACN C 1.15% 1.43% 1.15%
ADBE F 1.17% 1.41% 1.17%
ADI D 0.52% 0.71% 0.52%
ADSK B 0.34% 0.42% 0.34%
AKAM F 0.07% 0.1% 0.07%
AMAT F 0.75% 1.01% 0.75%
AMD F 1.12% 1.53% 1.12%
ANET C 0.5% 0.7% 0.5%
ANSS B 0.15% 0.2% 0.15%
APH B 0.43% 0.57% 0.43%
AVGO C 2.03% 4.85% 2.03%
CDNS B 0.42% 0.52% 0.42%
CDW F 0.12% 0.17% 0.12%
CRM A 1.64% 1.9% 1.64%
CRWD B 0.4% 0.48% 0.4%
CSCO B 1.18% 1.48% 1.18%
CTSH B 0.2% 0.25% 0.2%
DELL C 0.19% 0.25% 0.19%
ENPH F 0.04% 0.07% 0.04%
EPAM B 0.07% 0.09% 0.07%
FFIV B 0.07% 0.09% 0.07%
FICO A 0.28% 0.34% 0.28%
FSLR F 0.1% 0.13% 0.1%
FTNT A 0.31% 0.33% 0.31%
GDDY A 0.13% 0.16% 0.13%
GEN B 0.08% 0.1% 0.08%
GLW B 0.18% 0.23% 0.18%
HPE B 0.14% 0.18% 0.14%
HPQ B 0.18% 0.23% 0.18%
IBM D 0.96% 1.24% 0.96%
INTC C 0.53% 0.73% 0.53%
INTU A 0.98% 1.19% 0.98%
IT B 0.2% 0.26% 0.2%
JBL C 0.07% 0.1% 0.07%
JNPR D 0.06% 0.08% 0.06%
KEYS C 0.14% 0.18% 0.14%
KLAC F 0.43% 0.58% 0.43%
LRCX F 0.48% 0.66% 0.48%
MCHP F 0.18% 0.25% 0.18%
MPWR F 0.14% 0.24% 0.14%
MSFT D 6.02% 16.7% 6.02%
MSI A 0.41% 0.5% 0.41%
MU D 0.55% 0.79% 0.55%
NOW B 1.06% 1.32% 1.06%
NTAP D 0.12% 0.16% 0.12%
NVDA B 6.86% 9.3% 6.86%
NXPI F 0.28% 0.4% 0.28%
ON F 0.14% 0.21% 0.14%
ORCL A 1.51% 1.88% 1.51%
PANW B 0.64% 0.79% 0.64%
PLTR A 0.61% 0.71% 0.61%
PTC B 0.12% 0.14% 0.12%
QCOM F 0.89% 1.22% 0.89%
QRVO F 0.03% 0.05% 0.03%
ROP C 0.3% 0.39% 0.3%
SMCI F 0.05% 0.05% 0.05%
SNPS C 0.43% 0.55% 0.43%
STX D 0.1% 0.14% 0.1%
SWKS F 0.07% 0.09% 0.07%
TDY B 0.12% 0.14% 0.12%
TER F 0.09% 0.12% 0.09%
TRMB A 0.09% 0.11% 0.09%
TXN C 0.93% 1.25% 0.93%
TYL B 0.13% 0.17% 0.13%
VRSN D 0.07% 0.1% 0.07%
WDC F 0.1% 0.15% 0.1%
ZBRA B 0.1% 0.13% 0.1%
TYLG Overweight 0 Positions Relative to IXN
Symbol Grade Weight
TYLG Underweight 2 Positions Relative to IXN
Symbol Grade Weight
TEL C -0.3%
UMC F -0.11%
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