BYRE vs. VABS ETF Comparison

Comparison of Principal Real Estate Active Opportunities ETF (BYRE) to Virtus Newfleet ABS/MBS ETF (VABS)
BYRE

Principal Real Estate Active Opportunities ETF

BYRE Description

Under normal circumstances, the fund invests at least 80% of its net assets, plus any borrowings for investment purposes, in securities of companies principally engaged in the real estate industry at the time of purchase. It invests primarily in equity securities of U.S. companies, including those of small companies. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$26.16

Average Daily Volume

1,035

Number of Holdings *

22

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

Virtus Newfleet ABS/MBS ETF

VABS Description The Fund seeks to generate income by investing primarily in short-duration, investment-grade securitized debt across asset-backed securities (ABS) and mortgage-backed securities (MBS), including commercial and residential MBS. A disciplined, time-tested investment process and rigorous risk management approach seeks to target ABS and MBS with competitive yield and current income across undervalued areas of securitized credit markets.

Grade (RS Rating)

Last Trade

$24.17

Average Daily Volume

2,387

Number of Holdings *

50

* may have additional holdings in another (foreign) market
Performance
Period BYRE VABS
30 Days -1.13% 0.28%
60 Days -3.51% 0.04%
90 Days 0.81% 0.27%
12 Months 19.29% 6.93%
1 Overlapping Holdings
Symbol Grade Weight in BYRE Weight in VABS Overlap
DRH B 1.55% 1.35% 1.35%
BYRE Overweight 21 Positions Relative to VABS
Symbol Grade Weight
VTR C 8.53%
AMT D 7.12%
EQIX A 6.66%
INVH D 6.12%
EXR D 5.61%
SBAC D 5.11%
WELL A 4.95%
COLD D 4.69%
SUI D 4.47%
REXR F 4.26%
SBRA C 4.26%
GLPI C 4.19%
VICI C 4.18%
TRNO F 4.14%
AMH D 3.98%
DLR B 3.08%
ARE D 2.8%
NHI D 2.22%
RHP B 1.97%
CCI D 1.79%
VAC B 1.09%
BYRE Underweight 49 Positions Relative to VABS
Symbol Grade Weight
RLJ C -4.48%
BW D -2.27%
EFC C -1.89%
BFS C -1.53%
EQC B -1.49%
PBI B -1.34%
TWO D -1.26%
ARR D -1.25%
GNL F -0.94%
F C -0.87%
MFA D -0.86%
CIM D -0.82%
IVR F -0.78%
DBRG F -0.62%
ET A -0.55%
EPR D -0.47%
MITT D -0.45%
CTO B -0.29%
PSEC D -0.23%
TDS B -0.23%
PMT D -0.21%
AHH D -0.17%
SHO C -0.17%
LXP D -0.17%
INN D -0.16%
ATCOL A -0.15%
BHR B -0.15%
UMH C -0.11%
ABR C -0.1%
ALLY C -0.1%
FTAI B -0.06%
ALTG C -0.05%
FHN A -0.04%
AL B -0.04%
CIO D -0.03%
NLY C -0.03%
SNV B -0.02%
DX B -0.02%
CODI B -0.02%
PEB D -0.01%
CNO A -0.01%
VNO B -0.01%
BOH B -0.01%
SF B -0.01%
EQH B -0.01%
COF B -0.01%
IFF D -0.01%
JPM A -0.01%
NEE D -0.01%
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