VAMO vs. AMID ETF Comparison

Comparison of Cambria Value and Momentum ETF (VAMO) to Argent Mid Cap ETF (AMID)
VAMO

Cambria Value and Momentum ETF

VAMO Description

The investment seeks income and capital appreciation from investments in the U.S. equity market. The fund will seek to achieve its investment objective by investing, under normal market conditions, at least 80% of the value of the fund's net assets in U.S. exchange-listed equity securities. It may hedge up to 100% of the value of the fund's long portfolio. The fund may invest in securities of companies in any industry, but will limit the maximum allocation to any particular sector to 25%. It may invest up to 20% of the value of its net assets in U.S. dollar and non-U.S. dollar denominated money market instruments or other high quality debt securities, or ETFs.

Grade (RS Rating)

Last Trade

$31.35

Average Daily Volume

3,728

Number of Holdings *

97

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

Argent Mid Cap ETF

AMID Description AMID aims to outperform the Russell MidCap Index over the long term by applying Change-Based Investing strategies. The fund actively invests in stocks undergoing positive internal or external change, which the issuer believes could lead to underappreciated growth. The starting universe begins with 1,500 US mid-cap stocks that are screened for liquidity and grouped by sector. Using their proprietary Argent Alpha Model, stocks are ranked under four main categories: Value, Growth, Quality, and Stability. Stocks within each sector with positive exposure to outperforming factors are considered. The remaining companies are grouped into current and future market segments based on expected outperformance in the current or future market cycle. Finally, the fund uses fundamental analysis to select 35-50 stocks with prospect improvements at the company or industry level. Sectors may be overweighted at various times in the economic cycle. Individual securities are capped at 8%.

Grade (RS Rating)

Last Trade

$35.79

Average Daily Volume

7,669

Number of Holdings *

37

* may have additional holdings in another (foreign) market
Performance
Period VAMO AMID
30 Days 3.56% -0.63%
60 Days 6.27% 1.34%
90 Days 8.91% 3.68%
12 Months 20.19% 31.55%
2 Overlapping Holdings
Symbol Grade Weight in VAMO Weight in AMID Overlap
DHI D 1.12% 2.85% 1.12%
PATK D 1.14% 1.35% 1.14%
VAMO Overweight 95 Positions Relative to AMID
Symbol Grade Weight
MLI B 2.01%
VST A 1.76%
STRL A 1.72%
COOP B 1.59%
SKYW B 1.46%
ENVA B 1.46%
PHM D 1.45%
CEIX A 1.36%
PRDO B 1.32%
HOOD A 1.31%
TMHC B 1.18%
REVG B 1.17%
AGX B 1.17%
SYF B 1.17%
L A 1.17%
TDS B 1.12%
POWL C 1.09%
JXN C 1.08%
EME A 1.08%
CNX A 1.08%
LEN D 1.08%
MCY B 1.07%
HTLF B 1.06%
IESC A 1.06%
IDCC B 1.04%
SKWD A 1.03%
MTH D 1.02%
BFH B 1.02%
CENX B 1.02%
MATX B 1.01%
BCC C 0.99%
OSCR C 0.98%
COF B 0.97%
TOL B 0.96%
CALM A 0.96%
FCNCA A 0.96%
WTTR A 0.94%
LRN A 0.93%
CFG B 0.93%
GM B 0.92%
HIG B 0.92%
PPC B 0.91%
HCC B 0.91%
BZH C 0.89%
ATGE B 0.89%
MHO D 0.89%
FOXA B 0.88%
APOG B 0.87%
PHIN B 0.87%
MTG D 0.87%
UTHR C 0.85%
INGR B 0.85%
GPI B 0.84%
ABM B 0.84%
RGA B 0.84%
PRI A 0.84%
KBH D 0.83%
HNI B 0.83%
RSI B 0.83%
KFY B 0.82%
BHE B 0.82%
TPC C 0.82%
LPX B 0.82%
DNOW B 0.81%
THC C 0.8%
PLUS F 0.8%
T A 0.8%
AFL C 0.79%
SLVM C 0.79%
NRG B 0.79%
EQH B 0.79%
SM C 0.78%
SCSC B 0.77%
CRBG B 0.77%
RDN D 0.75%
LNC B 0.74%
PRU B 0.73%
AIZ A 0.73%
WKC D 0.72%
WSM D 0.72%
TPH D 0.71%
MHK D 0.7%
FNF A 0.7%
ALLY C 0.69%
MLKN F 0.69%
CCS F 0.68%
SNX D 0.67%
GRBK D 0.67%
UHS D 0.66%
CRUS F 0.65%
CUBI C 0.62%
UFPI C 0.6%
LBRT F 0.6%
CAL F 0.59%
NSIT F 0.59%
VAMO Underweight 35 Positions Relative to AMID
Symbol Grade Weight
FICO B -3.79%
CTAS B -3.66%
CPRT B -3.56%
BLDR D -3.43%
FTNT B -3.34%
HLI B -3.2%
CBZ B -2.93%
LPLA A -2.87%
CDW F -2.86%
VCTR B -2.86%
IT C -2.83%
MEDP D -2.69%
MUSA B -2.63%
HCA F -2.49%
BAH D -2.45%
BLD F -2.43%
OMF A -2.4%
URI B -2.35%
AFG A -2.28%
GDDY A -2.24%
A F -2.12%
ADUS D -2.09%
CG B -2.05%
SCI A -2.05%
TPX B -1.99%
AME A -1.98%
ICFI F -1.93%
LNG A -1.69%
CHDN C -1.57%
ABG B -1.55%
ENTG F -1.52%
MOH F -1.44%
TTEK F -1.33%
AX B -1.11%
EXPO D -0.99%
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