XLY vs. ECML ETF Comparison

Comparison of SPDR Select Sector Fund - Consumer Discretionary (XLY) to EA Series Trust Euclidean Fundamental Value ETF (ECML)
XLY

SPDR Select Sector Fund - Consumer Discretionary

XLY Description

The investment seeks investment results that, before expenses, correspond to the price and yield performance of publicly traded equity securities of companies in The Consumer Discretionary Select Sector Index. The fund employs a replication strategy. It generally invests substantially all, but at least 95%, of its total assets in the securities comprising the index. The index includes companies from the following industries: media; retail; hotels, restaurants & leisure; textiles, apparel & luxury goods; household durables; automobiles; auto components; distributors; leisure equipment & products; and diversified consumer services. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$215.28

Average Daily Volume

2,811,961

Number of Holdings *

50

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

EA Series Trust Euclidean Fundamental Value ETF

ECML Description The fund is an actively managed exchange-traded fund ("ETF") that seeks to achieve its investment objective by investing in U.S. equity securities that the sub-adviser believes are under-valued and under-appreciated by the market. The sub-adviser employs a quantitative and systematic approach to long-term investing. It is expected that the fund will generally hold 60 to 70 stocks that are selected from a universe that includes all publicly traded stocks listed on the New York Stock Exchange ("NYSE") and the Nasdaq Market ("Nasdaq").

Grade (RS Rating)

Last Trade

$35.05

Average Daily Volume

1,173

Number of Holdings *

60

* may have additional holdings in another (foreign) market
Performance
Period XLY ECML
30 Days 8.80% 2.38%
60 Days 12.08% 5.66%
90 Days 17.80% 6.80%
12 Months 29.39% 24.80%
3 Overlapping Holdings
Symbol Grade Weight in XLY Weight in ECML Overlap
DHI D 1.29% 1.47% 1.29%
LEN D 1.08% 1.52% 1.08%
PHM D 0.71% 1.7% 0.71%
XLY Overweight 47 Positions Relative to ECML
Symbol Grade Weight
AMZN A 23.5%
TSLA B 15.76%
HD B 7.58%
BKNG A 4.31%
MCD C 4.06%
LOW B 3.97%
TJX A 3.45%
SBUX B 2.85%
NKE F 2.38%
CMG B 2.08%
ORLY A 1.84%
ABNB C 1.7%
MAR A 1.7%
GM B 1.63%
HLT A 1.59%
AZO B 1.41%
RCL A 1.37%
ROST D 1.24%
F C 1.12%
YUM B 1.01%
LULU B 0.95%
GRMN A 0.85%
TSCO D 0.82%
EBAY C 0.79%
NVR D 0.74%
DECK B 0.68%
CCL B 0.63%
EXPE B 0.57%
DRI B 0.52%
ULTA C 0.49%
LVS C 0.48%
BBY C 0.46%
GPC D 0.45%
DPZ C 0.41%
APTV F 0.39%
POOL D 0.37%
TPR A 0.31%
NCLH B 0.31%
KMX B 0.31%
LKQ C 0.26%
MGM D 0.23%
RL B 0.23%
CZR F 0.23%
HAS D 0.22%
BWA B 0.21%
WYNN C 0.21%
MHK D 0.2%
XLY Underweight 57 Positions Relative to ECML
Symbol Grade Weight
MLI B -2.33%
ALSN B -2.23%
HSII B -2.2%
CALM B -2.1%
TOL B -1.98%
INGR B -1.88%
PPC C -1.87%
TMHC B -1.85%
GRBK D -1.83%
CEIX B -1.82%
GPI B -1.82%
STLD C -1.76%
KBH D -1.75%
SANM C -1.75%
FOXA A -1.75%
HCC C -1.73%
OSK B -1.71%
LNG B -1.7%
MHO D -1.68%
CMC B -1.68%
PRDO B -1.68%
GIII C -1.68%
SM C -1.67%
OVV C -1.67%
ARCH B -1.65%
ATKR C -1.65%
SIRI C -1.65%
EOG A -1.63%
TPH C -1.62%
MO A -1.62%
OC A -1.62%
COKE C -1.6%
PCAR B -1.59%
TEX D -1.58%
COP C -1.58%
NUE D -1.57%
PLAB C -1.54%
DDS B -1.53%
VLO C -1.49%
BCC B -1.49%
HESM C -1.48%
DVN F -1.48%
AMR C -1.47%
MTH D -1.47%
ANDE D -1.46%
CF B -1.45%
AN C -1.45%
MOH F -1.43%
IMKTA B -1.43%
MPC D -1.39%
DINO D -1.38%
LBRT F -1.38%
ARW F -1.32%
BG D -1.32%
INSW F -1.23%
FOR F -1.21%
LPG D -1.17%
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