USRD vs. XYLE ETF Comparison

Comparison of Themes US R&D Champions ETF (USRD) to Global X S&P 500 ESG Covered Call ETF (XYLE)
USRD

Themes US R&D Champions ETF

USRD Description

The index is designed to provide exposure to U.S. companies in the large- and mid- capitalization segments that rank in the top 50 companies based on the index Provider"s R&D intensity metric. The fund will invest, under normal circumstances, at least 80% of its net assets, plus the amount of any borrowings for investment purposes, in securities that comprise the index. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$31.69

Average Daily Volume

143

Number of Holdings *

50

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

Global X S&P 500 ESG Covered Call ETF

XYLE Description The fund invests at least 80% of its net assets, plus borrowings for investment purposes (if any), in the securities of the Cboe S&P 500 ESG BuyWrite Index (the underlying index). The fund's 80% investment policy is non-fundamental and requires 60 days prior written notice to shareholders before it can be changed. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$27.02

Average Daily Volume

299

Number of Holdings *

313

* may have additional holdings in another (foreign) market
Performance
Period USRD XYLE
30 Days 2.17% 1.90%
60 Days 2.27% 3.94%
90 Days 3.37% 5.73%
12 Months 18.49%
23 Overlapping Holdings
Symbol Grade Weight in USRD Weight in XYLE Overlap
ADBE C 2.1% 0.67% 0.67%
ADSK A 2.1% 0.18% 0.18%
AKAM D 1.73% 0.04% 0.04%
AMAT F 1.89% 0.44% 0.44%
AMD F 1.87% 0.63% 0.63%
BSX B 2.03% 0.36% 0.36%
CMI A 2.19% 0.13% 0.13%
CSCO B 2.07% 0.65% 0.65%
CSGP D 1.96% 0.09% 0.09%
CTVA C 1.81% 0.12% 0.12%
EA A 2.12% 0.11% 0.11%
EL F 1.85% 0.04% 0.04%
EW C 2.02% 0.12% 0.12%
EXPE B 2.31% 0.07% 0.07%
GM B 2.25% 0.19% 0.19%
GOOGL C 2.0% 2.91% 2.0%
HOLX D 1.94% 0.05% 0.05%
HPE B 2.16% 0.08% 0.08%
LLY F 1.77% 1.78% 1.77%
LRCX F 1.88% 0.28% 0.28%
MDT D 1.96% 0.32% 0.32%
QCOM F 1.97% 0.53% 0.53%
REGN F 1.79% 0.25% 0.25%
USRD Overweight 27 Positions Relative to XYLE
Symbol Grade Weight
FTNT C 2.39%
TRMB B 2.33%
INTU C 2.25%
ORCL B 2.19%
ALGN D 2.18%
ZM B 2.17%
NOW A 2.15%
CDNS B 2.11%
ISRG A 2.11%
ANSS B 2.06%
VEEV C 2.04%
SNPS B 2.04%
NTAP C 2.03%
ROP B 2.02%
KEYS A 2.0%
IBM C 1.98%
TTD B 1.97%
META D 1.95%
NOC D 1.94%
JNJ D 1.93%
ANET C 1.93%
DOX D 1.89%
GEHC F 1.87%
MELI D 1.84%
LDOS C 1.75%
MPWR F 1.5%
ENPH F 1.43%
USRD Underweight 290 Positions Relative to XYLE
Symbol Grade Weight
NVDA C -10.25%
AAPL C -9.84%
MSFT F -9.01%
TSLA B -2.44%
GOOG C -2.4%
JPM A -1.94%
UNH C -1.56%
XOM B -1.51%
V A -1.46%
MA C -1.2%
COST B -1.16%
HD A -1.13%
PG A -1.11%
WMT A -1.03%
CRM B -0.91%
BAC A -0.87%
ABBV D -0.85%
CVX A -0.77%
MRK F -0.7%
KO D -0.68%
ACN C -0.65%
PEP F -0.63%
LIN D -0.62%
MCD D -0.6%
DIS B -0.56%
ABT B -0.56%
GE D -0.54%
GS A -0.53%
CAT B -0.53%
CMCSA B -0.47%
SPGI C -0.46%
MS A -0.46%
T A -0.45%
AMGN D -0.45%
AXP A -0.45%
BLK C -0.44%
NEE D -0.44%
LOW D -0.43%
DHR F -0.43%
UBER D -0.42%
UNP C -0.41%
ETN A -0.4%
TJX A -0.39%
C A -0.37%
SYK C -0.36%
SCHW B -0.35%
ADP B -0.35%
BMY B -0.34%
FI A -0.34%
GILD C -0.32%
SBUX A -0.32%
TMUS B -0.32%
MU D -0.31%
PLD D -0.31%
INTC D -0.31%
CB C -0.3%
MMC B -0.3%
DE A -0.29%
UPS C -0.28%
CI F -0.26%
AMT D -0.26%
PH A -0.26%
ELV F -0.26%
TT A -0.26%
NKE D -0.25%
ICE C -0.25%
EQIX A -0.24%
KLAC D -0.24%
CMG B -0.24%
PYPL B -0.24%
MDLZ F -0.24%
SHW A -0.24%
WELL A -0.23%
PNC B -0.23%
WM A -0.23%
EMR A -0.22%
AON A -0.22%
ZTS D -0.22%
USB A -0.22%
CME A -0.22%
CTAS B -0.21%
CL D -0.21%
CSX B -0.2%
ITW B -0.2%
APD A -0.2%
CVS D -0.2%
TGT F -0.2%
COF B -0.2%
MCO B -0.2%
GWW B -0.19%
AJG B -0.19%
WMB A -0.19%
PCAR B -0.18%
FCX D -0.18%
MAR B -0.18%
URI B -0.18%
BDX F -0.18%
TFC A -0.18%
SLB C -0.18%
OKE A -0.18%
SRE A -0.17%
NSC B -0.17%
BK A -0.17%
ECL D -0.17%
HLT A -0.17%
CARR D -0.17%
PSX C -0.16%
RCL A -0.16%
DLR B -0.16%
JCI C -0.16%
AFL B -0.16%
TRV B -0.16%
AMP A -0.15%
MPC D -0.15%
KMI A -0.15%
PWR A -0.14%
NEM D -0.14%
DHI D -0.14%
PSA D -0.14%
MET A -0.14%
AIG B -0.14%
ALL A -0.14%
VLO C -0.13%
AXON A -0.13%
MSCI C -0.13%
DFS B -0.13%
PEG A -0.13%
PAYX C -0.13%
PRU A -0.13%
AME A -0.13%
ROST C -0.13%
FIS C -0.13%
COR B -0.12%
OTIS C -0.12%
IR B -0.12%
VRSK A -0.12%
TRGP B -0.12%
RSG A -0.12%
BKR B -0.12%
DAL C -0.12%
YUM B -0.11%
A D -0.11%
EXC C -0.11%
SYY B -0.11%
ACGL D -0.11%
CBRE B -0.11%
HES B -0.11%
KR B -0.11%
ED D -0.1%
IRM D -0.1%
AVB B -0.1%
OXY D -0.1%
RMD C -0.1%
HIG B -0.1%
MTB A -0.1%
KDP D -0.1%
GIS D -0.1%
EXR D -0.1%
LULU C -0.1%
GPN B -0.09%
FANG D -0.09%
TSCO D -0.09%
EBAY D -0.09%
IDXX F -0.09%
CAH B -0.09%
HUM C -0.09%
CNC D -0.09%
NDAQ A -0.09%
ROK B -0.09%
EIX B -0.09%
DOW F -0.09%
ETR B -0.09%
WAB B -0.09%
HPQ B -0.09%
FITB A -0.09%
HSY F -0.08%
FTV C -0.08%
RJF A -0.08%
TTWO A -0.08%
EQR B -0.08%
CPAY A -0.08%
HAL C -0.08%
STT A -0.08%
ON D -0.08%
PHM D -0.08%
TROW B -0.08%
WTW B -0.08%
XYL D -0.08%
DECK A -0.08%
PPG F -0.08%
MTD D -0.07%
IFF D -0.07%
WY D -0.07%
NTRS A -0.07%
ZBH C -0.07%
SBAC D -0.07%
RF A -0.07%
BIIB F -0.07%
HUBB B -0.07%
AWK D -0.07%
CCL B -0.07%
BR A -0.07%
VTR C -0.07%
KHC F -0.07%
HBAN A -0.07%
SW A -0.07%
EQT B -0.07%
DOV A -0.07%
DVN F -0.07%
ADM D -0.07%
SYF B -0.07%
MKC D -0.06%
OMC C -0.06%
CFG B -0.06%
WAT B -0.06%
LYB F -0.06%
ES D -0.06%
CBOE B -0.06%
WDC D -0.06%
K A -0.06%
CF B -0.05%
ARE D -0.05%
BAX D -0.05%
KIM A -0.05%
BBY D -0.05%
IEX B -0.05%
DGX A -0.05%
PFG D -0.05%
PNR A -0.05%
GPC D -0.05%
BALL D -0.05%
FDS B -0.05%
KEY B -0.05%
LVS C -0.05%
TSN B -0.05%
MAS D -0.05%
NWSA B -0.04%
SWK D -0.04%
JKHY D -0.04%
INCY C -0.04%
ALLE D -0.04%
UDR B -0.04%
ALB C -0.04%
POOL C -0.04%
EG C -0.04%
HST C -0.04%
JBHT C -0.04%
MRNA F -0.04%
ULTA F -0.04%
CAG D -0.04%
CHRW C -0.04%
AVY D -0.04%
TPR B -0.04%
APTV D -0.04%
RVTY F -0.04%
AMCR D -0.04%
DOC D -0.04%
BWA D -0.03%
HRL D -0.03%
MGM D -0.03%
CPB D -0.03%
TAP C -0.03%
MKTX D -0.03%
GL B -0.03%
CZR F -0.03%
BXP D -0.03%
WYNN D -0.03%
LKQ D -0.03%
IPG D -0.03%
DAY B -0.03%
KMX B -0.03%
NCLH B -0.03%
LW C -0.03%
REG B -0.03%
SJM D -0.03%
PARA C -0.02%
DVA B -0.02%
WBA F -0.02%
TFX F -0.02%
BEN C -0.02%
FMC D -0.02%
CRL C -0.02%
RL B -0.02%
AIZ A -0.02%
HAS D -0.02%
MOS F -0.02%
FRT B -0.02%
IVZ B -0.02%
NWS B -0.01%
MHK D -0.01%
Compare ETFs