XRLV vs. FSCS ETF Comparison

Comparison of PowerShares S&P 500 ex-Rate Sensitive Low Volatility Portfolio (XRLV) to SMID Capital Strength ETF (FSCS)
XRLV

PowerShares S&P 500 ex-Rate Sensitive Low Volatility Portfolio

XRLV Description

The investment seeks investment results that generally correspond (before fees and expenses) to the price and yield of the S&P 500 Low Volatility Rate Response Index (the "underlying index"). The fund generally will invest at least 90% of its total assets in common stocks that comprise the underlying index. The underlying index is designed to include stocks exhibiting low volatility characteristics, after removing stocks that historically have performed poorly in rising interest rate environments. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$56.06

Average Daily Volume

788

Number of Holdings *

100

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

SMID Capital Strength ETF

FSCS Description The fund will normally invest at least 90% of its net assets in the securities that comprise the index. The index is designed to select dividend-paying securities issued by mid capitalization U.S. companies.

Grade (RS Rating)

Last Trade

$37.56

Average Daily Volume

2,857

Number of Holdings *

98

* may have additional holdings in another (foreign) market
Performance
Period XRLV FSCS
30 Days 2.19% 7.05%
60 Days 4.23% 7.68%
90 Days 6.00% 8.84%
12 Months 23.15% 32.85%
6 Overlapping Holdings
Symbol Grade Weight in XRLV Weight in FSCS Overlap
AVY F 0.92% 0.89% 0.89%
BR A 0.94% 1.01% 0.94%
CBOE C 0.83% 0.92% 0.83%
CHD A 0.99% 1.0% 0.99%
IEX C 1.07% 1.06% 1.06%
PKG A 1.04% 1.04% 1.04%
XRLV Overweight 94 Positions Relative to FSCS
Symbol Grade Weight
TMUS B 1.45%
BRK.A B 1.43%
V A 1.34%
FI A 1.3%
KMI A 1.28%
AMP A 1.26%
L A 1.24%
WMB A 1.22%
RSG A 1.21%
MA B 1.19%
WMT A 1.19%
HON C 1.18%
BK A 1.16%
OKE A 1.16%
MMC B 1.14%
PG C 1.13%
ITW B 1.13%
MSI B 1.13%
TJX A 1.13%
ATO A 1.12%
KO D 1.12%
JPM A 1.12%
AME A 1.11%
ETR B 1.11%
CSCO B 1.11%
PM B 1.08%
ROP B 1.06%
CME B 1.06%
MCD D 1.06%
MET A 1.05%
CB C 1.04%
PRU A 1.04%
ADP A 1.04%
LIN C 1.04%
HIG B 1.03%
SRE A 1.03%
CL D 1.03%
HLT A 1.02%
JNJ C 1.01%
CTAS B 1.0%
PPL A 1.0%
PEG A 0.99%
WELL A 0.99%
YUM D 0.99%
PFG D 0.99%
DRI B 0.98%
COR B 0.98%
PAYX B 0.98%
WM B 0.98%
MO A 0.97%
NI A 0.97%
BRO B 0.97%
EA A 0.97%
CSX C 0.96%
AIG B 0.96%
DUK C 0.96%
AJG A 0.95%
AFL B 0.95%
UNP C 0.94%
LNT A 0.94%
WEC A 0.93%
GD D 0.93%
SO C 0.93%
VRSN C 0.93%
ABT B 0.92%
DGX A 0.92%
AVB B 0.92%
CMS C 0.91%
MDT D 0.91%
LH B 0.91%
LMT D 0.9%
VRSK A 0.9%
EVRG A 0.9%
PEP F 0.89%
OMC C 0.89%
KMB C 0.88%
MCK A 0.88%
ECL D 0.88%
FE C 0.87%
MDLZ F 0.87%
PPG F 0.87%
ED C 0.87%
STZ D 0.87%
JKHY D 0.86%
HOLX D 0.85%
SYY D 0.84%
KDP F 0.81%
BDX F 0.8%
GIS D 0.78%
ABBV F 0.76%
LYB F 0.76%
DOW F 0.71%
REGN F 0.66%
ELV F 0.64%
XRLV Underweight 92 Positions Relative to FSCS
Symbol Grade Weight
LRN A -1.5%
PRDO B -1.21%
LOPE C -1.21%
MLI B -1.21%
IBKR A -1.16%
CBSH B -1.14%
IDCC B -1.14%
AIT B -1.13%
ALSN B -1.13%
LAUR A -1.12%
RJF A -1.12%
RHI C -1.1%
LYV A -1.09%
EXLS B -1.09%
CFR B -1.09%
CRVL B -1.08%
INGR C -1.08%
SEIC B -1.08%
FFIV B -1.08%
IBOC B -1.08%
BBSI B -1.08%
WABC B -1.07%
SNA A -1.07%
AIZ A -1.06%
MCY A -1.06%
EPAC C -1.06%
CHCO B -1.06%
CASH B -1.05%
TXRH B -1.05%
WAT C -1.05%
OFG B -1.05%
KTB B -1.05%
FHI B -1.05%
PJT A -1.04%
CINF A -1.03%
HLI A -1.03%
PRI B -1.03%
CPAY A -1.02%
LANC C -1.02%
UTHR C -1.02%
EVR B -1.02%
SPNT B -1.02%
FDS B -1.02%
YELP C -1.02%
EEFT B -1.01%
GGG B -1.01%
CASY A -1.01%
DOV A -1.01%
EHC B -1.01%
AFG A -1.01%
MGY A -1.01%
HALO F -1.0%
WTS B -1.0%
GNTX C -0.99%
DCI B -0.99%
RPM A -0.99%
APAM B -0.99%
PRGS A -0.99%
CF A -0.99%
CLX A -0.99%
CHRD D -0.98%
STLD B -0.98%
MORN B -0.97%
NDSN B -0.97%
LSTR D -0.97%
ROL B -0.97%
MSA F -0.97%
FBP C -0.97%
EXPD C -0.97%
CW C -0.96%
ACM B -0.96%
CLH C -0.95%
ROIV C -0.95%
BRC D -0.95%
WRB A -0.94%
EG C -0.93%
MKC C -0.91%
MANH D -0.91%
COKE C -0.91%
BAH F -0.91%
AOS F -0.9%
REYN D -0.89%
CHE D -0.89%
ALLE C -0.89%
MMS F -0.88%
SHOO F -0.88%
RNR C -0.88%
GPC D -0.84%
FCN F -0.83%
VRRM F -0.83%
ERIE D -0.82%
TTEK F -0.81%
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