AVSD vs. TDIV ETF Comparison

Comparison of Avantis Responsible International Equity ETF (AVSD) to First Trust NASDAQ Technology Dividend Index Fund (TDIV)
AVSD

Avantis Responsible International Equity ETF

AVSD Description

Avantis Responsible International Equity ETF is an exchange traded fund launched and managed by American Century Investment Management Inc. The fund invests in public equity markets of global ex-US region. The fund invests in stocks of companies operating across diversified sectors. It invests in value stocks of small-cap companies. It invests in stocks of companies that are deemed socially conscious in their business dealings and directly promote environmental responsibility. The fund does not invest in stocks of companies operating across oil and gas production or distribution; manufacture or sale of civilian firearms and ammunition; manufacture of chemical, biological, or nuclear weapons and related systems or components; factory farming; palm oil production; production or sale of tobacco or cannabis; gambling; or adult entertainment, carbon emissions intensity and thermal coal sectors. The fund employs proprietary research to create its portfolio. Avantis Responsible International Equity ETF is domiciled in the United States.

Grade (RS Rating)

Last Trade

$57.04

Average Daily Volume

4,389

Number of Holdings *

83

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

First Trust NASDAQ Technology Dividend Index Fund

TDIV Description The investment seeks investment results that correspond generally to the price and yield of an equity index called the NASDAQ Technology Dividend Index. The fund will normally invest at least 90% of its net assets (plus the amount of any borrowings for investment purposes) in the common stocks and/or depositary receipts included in the index. The index is owned and was developed by NASDAQ(R) (the "Index Provider"). The index is calculated and maintained by the index Provider. The index includes up to 100 Technology and Telecommunications companies that pay a regular or common dividend. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$79.67

Average Daily Volume

98,477

Number of Holdings *

79

* may have additional holdings in another (foreign) market
Performance
Period AVSD TDIV
30 Days -2.84% -1.04%
60 Days -4.44% 0.81%
90 Days -4.13% 3.16%
12 Months 15.71% 33.51%
11 Overlapping Holdings
Symbol Grade Weight in AVSD Weight in TDIV Overlap
ASML F 0.73% 1.0% 0.73%
ERIC C 0.17% 0.22% 0.17%
GEN B 0.0% 0.59% 0.0%
LOGI D 0.09% 0.26% 0.09%
NOK D 0.05% 0.26% 0.05%
OTEX F 0.07% 0.41% 0.07%
SAP B 0.43% 0.27% 0.27%
SPNS F 0.01% 0.04% 0.01%
STM F 0.29% 0.03% 0.03%
TEF C 0.12% 0.11% 0.11%
XRX F 0.08% 0.16% 0.08%
AVSD Overweight 72 Positions Relative to TDIV
Symbol Grade Weight
NVO F 1.33%
HSBC A 0.89%
NVS F 0.86%
AZN F 0.6%
BCS A 0.5%
TM F 0.5%
MUFG B 0.42%
GSK F 0.41%
ING F 0.39%
LYG D 0.37%
SMFG B 0.37%
TD D 0.36%
SNY F 0.34%
UL D 0.34%
BBVA D 0.33%
DEO F 0.32%
RELX D 0.3%
SAN D 0.28%
ORAN F 0.27%
NWG A 0.24%
HMC F 0.24%
MFG A 0.23%
AER A 0.22%
CNI F 0.18%
ABBV F 0.16%
VOD F 0.16%
PHG C 0.16%
SW A 0.15%
BUD F 0.13%
STLA F 0.13%
HLN C 0.11%
SE A 0.1%
TEAM A 0.1%
WFG C 0.09%
TAK D 0.08%
SPOT B 0.07%
TEVA C 0.07%
ARGX B 0.07%
SNN D 0.07%
CHKP C 0.07%
GLNG C 0.07%
PSO B 0.06%
CCEP C 0.05%
RBA A 0.05%
ZIM C 0.05%
FMS A 0.04%
GMAB F 0.04%
NICE D 0.03%
QGEN D 0.03%
DOOO F 0.03%
CSTM F 0.03%
WPP C 0.03%
CYBR A 0.02%
GLBE B 0.02%
GLPG F 0.02%
GRAB A 0.02%
WIX A 0.02%
AEI D 0.02%
SSBI D 0.01%
MBAVU C 0.01%
PIXY F 0.01%
MNTX B 0.01%
NNDM D 0.01%
LSPD C 0.01%
ICLR D 0.01%
DBVT F 0.0%
NAK B 0.0%
VGR B 0.0%
CRNT B 0.0%
FUTU D 0.0%
MGIC D 0.0%
ITRN B 0.0%
AVSD Underweight 68 Positions Relative to TDIV
Symbol Grade Weight
ORCL A -9.36%
AVGO D -8.18%
IBM C -8.08%
MSFT D -8.0%
TXN C -7.32%
TSM B -4.02%
QCOM F -3.66%
ADI D -2.7%
TMUS B -2.34%
CSCO B -2.24%
T A -2.19%
CMCSA B -2.15%
MSI B -1.94%
VZ C -1.91%
INTU B -1.89%
GLW B -1.82%
AMAT F -1.79%
HPQ B -1.79%
LRCX F -1.6%
NXPI D -1.53%
MCHP F -1.27%
HPE B -1.24%
CTSH B -1.03%
KLAC F -1.01%
DELL B -0.99%
STX C -0.98%
APH A -0.95%
UI B -0.7%
NTAP C -0.68%
CCOI B -0.57%
SWKS F -0.56%
ROP B -0.54%
CDW F -0.44%
INFY C -0.4%
SSNC B -0.39%
LDOS C -0.36%
DOX D -0.35%
KT A -0.23%
MPWR F -0.23%
CABO B -0.21%
ATHM C -0.21%
SNX D -0.21%
PAYC B -0.2%
IRDM D -0.2%
AVT C -0.18%
DNB B -0.15%
IDCC B -0.14%
VIV F -0.13%
DLB B -0.12%
SAIC F -0.12%
KBR F -0.11%
AMKR D -0.1%
OLED F -0.1%
KLIC B -0.08%
CSGS B -0.07%
VSH F -0.07%
POWI F -0.07%
CNXC F -0.07%
SIMO D -0.07%
PRGS A -0.06%
SSTK F -0.06%
BHE C -0.05%
YOU D -0.05%
ATEN A -0.04%
CNXN C -0.02%
TKC B -0.02%
HCKT B -0.02%
SLP D -0.01%
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