ALTY vs. PY ETF Comparison

Comparison of Global X SuperDividend Alternatives ETF (ALTY) to Principal Shareholder Yield Index ETF (PY)
ALTY

Global X SuperDividend Alternatives ETF

ALTY Description

The investment seeks to track, before fees and expenses, the price and yield performance of the Indxx SuperDividend® Alternatives Index ("underlying index"). The fund invests at least 80% of its total assets in the securities of the underlying index and in American Depositary Receipts ("ADRs") and Global Depositary Receipts ("GDRs") based on the securities in the underlying index. The underlying index is comprised of securities that rank among the highest dividend yielding securities in each eligible category of alternative income investments, at the time of index reconstitution, as defined by the index provider. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$11.04

Average Daily Volume

13,312

Number of Holdings *

18

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

Principal Shareholder Yield Index ETF

PY Description The Principal Shareholder Yield Index ETF tracks an index of dividend-paying large- and midcap US stocks that are selected by several fundamental factors, including dividend yield and buyback yield. Holdings are equally weighted within two tiers.

Grade (RS Rating)

Last Trade

$44.16

Average Daily Volume

6,004

Number of Holdings *

113

* may have additional holdings in another (foreign) market
Performance
Period ALTY PY
30 Days -2.32% -3.50%
60 Days -0.28% 0.76%
90 Days 0.69% 2.45%
12 Months 4.74% 10.27%
1 Overlapping Holdings
Symbol Grade Weight in ALTY Weight in PY Overlap
WMB A 1.38% 0.78% 0.78%
ALTY Overweight 17 Positions Relative to PY
Symbol Grade Weight
QYLD B 21.08%
EMBD C 20.55%
PFFD C 20.08%
SPH C 1.55%
HESM A 1.43%
MPLX A 1.4%
USAC C 1.39%
PAA A 1.37%
SUN C 1.34%
KMI A 1.34%
AGR A 1.32%
EPD A 1.29%
ALE A 1.28%
SR B 1.23%
NWE B 1.16%
OGE B 1.15%
NWN F 1.11%
ALTY Underweight 112 Positions Relative to PY
Symbol Grade Weight
MSFT B -4.08%
AAPL F -3.66%
AVGO B -2.35%
XOM A -1.87%
HD C -1.49%
QCOM B -1.4%
BAC A -1.34%
CVX A -1.3%
LIN B -1.27%
CAT A -1.26%
ABT D -1.13%
ACN D -1.12%
MPC A -1.08%
ALL A -1.06%
PSX B -1.04%
CB C -1.01%
PCAR B -1.01%
TXN B -1.0%
PH B -0.99%
UNP C -0.99%
LOW C -0.98%
CMCSA D -0.95%
TRV B -0.95%
VLO A -0.92%
STLD A -0.92%
WRK A -0.91%
HIG B -0.9%
ADI B -0.89%
AIG B -0.89%
RSG A -0.89%
FIS A -0.89%
CSX C -0.89%
ICE C -0.89%
PHM B -0.88%
MMC B -0.88%
SPG C -0.87%
PNC B -0.87%
LMT A -0.87%
PXD A -0.86%
TFC B -0.85%
BK C -0.85%
PLD D -0.85%
AMP B -0.85%
ADP C -0.85%
NSC C -0.85%
FITB B -0.84%
MAS C -0.82%
DFS A -0.81%
PFE F -0.81%
KEY B -0.81%
KR A -0.8%
CVS D -0.8%
HST C -0.79%
JCI A -0.79%
NDAQ A -0.79%
MET B -0.79%
FDX A -0.78%
PKG B -0.78%
UPS D -0.77%
SYF C -0.77%
LHX C -0.77%
MCHP B -0.77%
AOS A -0.77%
AVY C -0.76%
MO A -0.76%
BMY F -0.75%
TPR C -0.75%
DVN A -0.74%
ALLE C -0.74%
CINF A -0.73%
EXR D -0.73%
CFG B -0.71%
CTSH D -0.7%
STT B -0.7%
SNA C -0.7%
NTRS B -0.7%
MTB B -0.7%
PAYX C -0.7%
ZION B -0.68%
GIS A -0.68%
EXPD D -0.67%
ARE B -0.66%
POOL D -0.66%
GLW C -0.66%
DRI D -0.65%
CF C -0.65%
INVH B -0.65%
ESS B -0.64%
BBY B -0.64%
CMA B -0.63%
VICI D -0.63%
RF B -0.63%
CAG A -0.63%
DGX C -0.63%
GPC B -0.62%
SWKS D -0.62%
RHI D -0.6%
MAA D -0.59%
UDR C -0.59%
HPQ D -0.59%
BEN D -0.58%
HSY F -0.58%
KIM D -0.58%
FOXA B -0.57%
EQT B -0.56%
FOX B -0.55%
ADM B -0.53%
XRAY D -0.51%
APA B -0.49%
MOS F -0.49%
CHRW F -0.47%
AMZN A -0.39%
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