CARZ vs. SNPG ETF Comparison

Comparison of First Trust NASDAQ Global Auto Index Fund (CARZ) to Xtrackers S&P 500 Growth ESG ETF (SNPG)
CARZ

First Trust NASDAQ Global Auto Index Fund

CARZ Description

The investment seeks investment results that correspond generally to the price and yield (before the fund's fees and expenses) of an equity index called the NASDAQ OMX Global Auto Index(SM). The index is owned and was developed by The NASDAQ OMX Group, Inc. (the "Index Provider"). The index Provider has contracted with Standard & Poor's to calculate and maintain the index. The index is designed to track the performance of the largest and most liquid companies engaged in manufacturing of automobiles. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$57.23

Average Daily Volume

1,426

Number of Holdings *

52

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

Xtrackers S&P 500 Growth ESG ETF

SNPG Description The fund, using a "passive" or indexing investment approach, seeks investment results that correspond generally to the performance, before fees and expenses, of the underlying index. The underlying index is a broad-based, market capitalization weighted index that provides exposure to companies with high environmental, social and governance ("ESG") performance relative to their sector peers, while maintaining similar overall industry group weights as the S&P 500 Growth Index. It is non-diversified.

Grade (RS Rating)

Last Trade

$43.69

Average Daily Volume

1,433

Number of Holdings *

132

* may have additional holdings in another (foreign) market
Performance
Period CARZ SNPG
30 Days -1.49% -0.63%
60 Days 9.66% 7.34%
90 Days 12.70% 10.51%
12 Months 13.86% 38.14%
9 Overlapping Holdings
Symbol Grade Weight in CARZ Weight in SNPG Overlap
AAPL C 4.51% 9.32% 4.51%
AMD F 4.06% 1.7% 1.7%
GOOGL B 4.83% 4.48% 4.48%
MSFT D 4.66% 8.4% 4.66%
NVDA B 4.64% 9.7% 4.64%
ON D 0.53% 0.1% 0.1%
PCAR B 0.91% 0.29% 0.29%
QCOM F 3.14% 0.69% 0.69%
TSLA B 4.84% 4.98% 4.84%
CARZ Overweight 43 Positions Relative to SNPG
Symbol Grade Weight
TSM B 4.69%
TXN B 3.19%
TM F 2.78%
MU C 1.94%
ADI C 1.92%
INTC C 1.61%
MRVL A 1.19%
NXPI D 1.05%
GM A 0.98%
CMI A 0.75%
HMC F 0.7%
F F 0.69%
MCHP F 0.67%
RMBS C 0.59%
AUR C 0.58%
LI C 0.54%
ALGM F 0.54%
MXL D 0.54%
PLUG C 0.51%
LSCC D 0.51%
SLAB F 0.5%
STLA F 0.5%
SYNA F 0.5%
SITM B 0.5%
AMBA C 0.5%
RIVN F 0.5%
APTV F 0.49%
INDI F 0.49%
STM F 0.49%
ST F 0.49%
CRUS F 0.48%
CHPT F 0.48%
BWA D 0.48%
ALB C 0.46%
LEA F 0.46%
SWKS F 0.46%
XPEV B 0.45%
BIDU F 0.45%
SQM D 0.44%
NIO D 0.43%
PSNY F 0.39%
QRVO F 0.36%
LCID F 0.35%
CARZ Underweight 123 Positions Relative to SNPG
Symbol Grade Weight
META B -9.03%
LLY F -4.16%
GOOG B -3.71%
V A -2.26%
MA B -2.16%
CRM B -2.04%
ADBE D -1.52%
UNH D -1.39%
UBER C -1.17%
COST C -1.16%
PG D -1.08%
HD B -1.02%
ABBV B -0.93%
LIN D -0.84%
ACN C -0.83%
CAT B -0.75%
MRK F -0.75%
AXP B -0.75%
LRCX F -0.71%
KO D -0.7%
MCD D -0.66%
KLAC F -0.66%
ETN B -0.59%
TJX D -0.58%
GE D -0.58%
PEP F -0.58%
SYK A -0.56%
CMG D -0.54%
SPGI D -0.49%
BSX B -0.48%
SBUX B -0.46%
UNP D -0.45%
PH A -0.44%
MAR B -0.43%
REGN F -0.42%
TT B -0.42%
DE C -0.42%
HLT B -0.41%
MMC D -0.4%
URI B -0.38%
DHI D -0.36%
RCL A -0.35%
ROST D -0.33%
ADP A -0.33%
EOG F -0.31%
SHW C -0.3%
AON B -0.29%
AMT D -0.29%
EQIX B -0.29%
ACGL F -0.28%
MDLZ F -0.28%
CTAS B -0.28%
NKE F -0.28%
WM B -0.27%
HES C -0.27%
GWW A -0.26%
TRGP A -0.26%
LULU C -0.25%
OKE A -0.24%
MCO D -0.24%
ITW A -0.23%
AJG D -0.23%
ADSK A -0.23%
CSX D -0.23%
FCX B -0.23%
FANG F -0.23%
ECL D -0.23%
IR B -0.22%
CL D -0.22%
PWR A -0.22%
CARR D -0.21%
PHM D -0.2%
MPC F -0.19%
DECK B -0.18%
RSG C -0.17%
MSCI B -0.17%
DLR B -0.16%
WMB A -0.16%
EXPE A -0.15%
DAL A -0.15%
AME A -0.14%
IDXX F -0.14%
VRSK B -0.14%
PAYX B -0.12%
IRM B -0.12%
DXCM D -0.12%
EW D -0.11%
YUM C -0.11%
CCL B -0.11%
CBOE B -0.1%
OTIS B -0.1%
EA A -0.1%
ROK C -0.1%
LVS B -0.09%
ULTA D -0.09%
STE D -0.09%
BR B -0.09%
CSGP D -0.09%
TTWO B -0.09%
NCLH B -0.08%
SBAC D -0.08%
MTD D -0.08%
TSCO D -0.08%
CTRA F -0.08%
HSY F -0.07%
HUBB B -0.07%
PNR A -0.07%
WYNN D -0.06%
APA F -0.06%
AKAM D -0.05%
LW C -0.05%
HST C -0.05%
MGM D -0.05%
FDS B -0.05%
WAT A -0.05%
POOL B -0.05%
MRO C -0.05%
CF B -0.05%
DAY A -0.04%
CZR D -0.04%
DVA D -0.03%
RL A -0.03%
ALLE D -0.03%
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