BAMV vs. EQTY ETF Comparison

Comparison of Brookstone Value Stock ETF (BAMV) to Kovitz Core Equity ETF (EQTY)
BAMV

Brookstone Value Stock ETF

BAMV Description

The fund is an actively managed exchange traded fund ("ETF") that invests in companies that the adviser believes offer strong value based on the adviser"s research. Under normal circumstances, the fund invests at least 80% of its net assets (plus borrowings for investment purposes) in publicly traded U.S. equity stocks.

Grade (RS Rating)

Last Trade

$32.96

Average Daily Volume

8,915

Number of Holdings *

30

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

Kovitz Core Equity ETF

EQTY Description The Kovitz Core Equity ETF seeks long-term capital appreciation. Through our fundamental, research-driven process, we strive to build diversified portfolios of equity investments through the purchase of competitively advantaged and financially strong companies at prices substantially less than our estimate of their intrinsic values.

Grade (RS Rating)

Last Trade

$24.14

Average Daily Volume

36,505

Number of Holdings *

38

* may have additional holdings in another (foreign) market
Performance
Period BAMV EQTY
30 Days 2.36% 2.94%
60 Days 5.41% 5.30%
90 Days 7.04% 6.95%
12 Months 25.75% 29.19%
5 Overlapping Holdings
Symbol Grade Weight in BAMV Weight in EQTY Overlap
BDX F 3.27% 3.98% 3.27%
BRK.A B 3.31% 3.16% 3.16%
CRM B 3.33% 3.76% 3.33%
JPM A 3.32% 2.57% 2.57%
SCHW B 3.28% 4.68% 3.28%
BAMV Overweight 25 Positions Relative to EQTY
Symbol Grade Weight
EL F 3.52%
CVS D 3.47%
BA F 3.47%
DIS B 3.43%
ALB C 3.39%
WFC A 3.38%
SBUX A 3.35%
KVUE A 3.33%
GS A 3.32%
BAC A 3.32%
CVX A 3.3%
NKE D 3.28%
CSCO B 3.28%
OTIS C 3.28%
JNJ D 3.27%
XOM B 3.27%
PYPL B 3.26%
BMY B 3.25%
KR B 3.24%
CMCSA B 3.24%
HON B 3.21%
CTSH B 3.18%
FIS C 3.16%
ZBH C 3.16%
PFE D 3.12%
BAMV Underweight 33 Positions Relative to EQTY
Symbol Grade Weight
META D -4.81%
AMZN C -4.81%
GOOG C -4.14%
KEYS A -3.93%
V A -3.77%
PM B -3.75%
J F -3.58%
ICE C -3.4%
KMX B -3.36%
FI A -3.18%
LOW D -3.16%
PCAR B -3.13%
AXP A -3.02%
ORCL B -2.96%
AON A -2.92%
PPG F -2.36%
MSI B -2.08%
AAPL C -1.89%
DLTR F -1.86%
ANET C -1.84%
ADI D -1.73%
DEO F -1.72%
AMAT F -1.67%
HAS D -1.07%
AMD F -0.94%
HAYW B -0.65%
GOOGL C -0.49%
MSFT F -0.24%
SYK C -0.13%
GGG B -0.1%
VRSK A -0.08%
ABT B -0.06%
EFX F -0.06%
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