CEFS vs. LGHT ETF Comparison

Comparison of Exchange Listed Funds Trust ETF (CEFS) to Langar Global HealthTech ETF (LGHT)
CEFS

Exchange Listed Funds Trust ETF

CEFS Description

The investment seeks to provide capital appreciation and dividend income. The fund is an actively managed exchange-traded fund ("ETF") that seeks to achieve its investment objective by normally investing at least 80% of its net assets, plus the amount of any borrowings for investment purposes, in securities issued by closed-end funds (the "underlying funds"). The advisor expects to invest in underlying funds operated by a diversified group of closed-end fund managers ("underlying fund managers"). The fund normally invests in underlying funds that primarily pursue high yield opportunities.

Grade (RS Rating)

Last Trade

$22.15

Average Daily Volume

47,063

Number of Holdings *

105

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

Langar Global HealthTech ETF

LGHT Description LGHT targets the global healthcare technology industry. The fund actively invests in HealthTech companies, which the adviser defines as firms that develop technology designed to create healthcare efficiency by addressing key pain points for patients, providers, payors, and hospitals, including those companies that derive a majority of their revenue from HealthTech products and services. The portfolio construction starts by identifying companies that fit into the advisers HealthTech definition. The remaining companies are screened using a proprietary metric that assesses each firms financial health, involvement in relevant controversies, as well as the strength of its team and culture. Each company is then assigned an industry risk score through an algorithm that defines quantitative and qualitative risk categories and weights them accordingly. Finally, each company is reviewed by an investment committee. However, the portfolio manager still has full discretion over the final selection.

Grade (RS Rating)

Last Trade

$10.31

Average Daily Volume

913

Number of Holdings *

31

* may have additional holdings in another (foreign) market
Performance
Period CEFS LGHT
30 Days -0.64% -3.06%
60 Days 0.77% -2.46%
90 Days 4.35% -0.81%
12 Months 29.02%
0 Overlapping Holdings
Symbol Grade Weight in CEFS Weight in LGHT Overlap
CEFS Overweight 105 Positions Relative to LGHT
Symbol Grade Weight
BIGZ A 12.12%
ASA D 8.22%
BCAT A 5.82%
ADX A 5.52%
BFZ D 5.03%
ASGI A 4.03%
ENX A 3.8%
PDX A 3.35%
NQP C 3.12%
GDV B 3.0%
NXJ D 3.0%
HQL D 2.89%
EVM C 2.23%
BSTZ B 2.22%
BMEZ D 2.16%
HQH D 2.13%
GRX D 1.86%
AFB D 1.8%
VTN A 1.76%
MHI C 1.68%
TEAF D 1.66%
LGI D 1.56%
EDD D 1.35%
VPV C 1.25%
NFJ B 1.2%
ECF A 1.16%
FMN D 1.1%
KSM F 1.09%
NTG A 1.07%
EMO A 1.04%
LEO D 1.03%
AOD D 1.02%
VGM C 1.0%
PGZ D 0.85%
JRI A 0.84%
MAV C 0.84%
NPFD A 0.83%
NBH D 0.76%
DMF C 0.66%
IHD D 0.65%
CEV D 0.64%
GAM B 0.58%
DSM D 0.56%
CXE D 0.47%
HYB A 0.46%
VKQ C 0.41%
BOE B 0.39%
VCV D 0.39%
IDE A 0.32%
NDP A 0.32%
DMB D 0.3%
PCK D 0.26%
VMO D 0.23%
TWN D 0.22%
PEO A 0.22%
CPZ C 0.22%
RA C 0.21%
EOD C 0.19%
GNT C 0.18%
TTP A 0.15%
FGB A 0.13%
AGD D 0.13%
MPA D 0.11%
CMU C 0.1%
CXH A 0.09%
ERH C 0.09%
MFD C 0.08%
TYG A 0.06%
GLO C 0.05%
NML A 0.05%
HEQ C 0.03%
PNI D 0.03%
IGA A 0.03%
GLV C 0.03%
MFM D 0.02%
MUJ D 0.02%
DIAX A 0.02%
KYN A 0.02%
SBI C 0.02%
GLQ C 0.01%
MVT D 0.01%
GF F 0.01%
MUC D 0.01%
BTT C 0.01%
MYN D 0.01%
NAC D 0.01%
MXE F 0.01%
BCV A 0.01%
PFO D 0.01%
ETW B 0.0%
NAN C 0.0%
NMT B 0.0%
MUE C 0.0%
MIY C 0.0%
BNY D 0.0%
BHV D 0.0%
NOM C 0.0%
RMT B 0.0%
VFL D 0.0%
IIF D 0.0%
NAZ B 0.0%
BGY D 0.0%
SWZ D 0.0%
MHN D 0.0%
PYN D 0.0%
CEFS Underweight 31 Positions Relative to LGHT
Symbol Grade Weight
ISRG A -15.39%
GEHC C -8.56%
RMD C -6.71%
IQV F -6.34%
DXCM C -5.51%
PODD B -5.26%
VEEV C -5.15%
PHG C -4.87%
ZBH C -3.57%
BNTX D -3.53%
ALGN D -2.85%
MASI B -2.46%
DOCS C -2.06%
MRNA F -1.72%
PRCT B -1.27%
ALKS C -0.66%
TNDM D -0.54%
IRTC C -0.44%
PRVA C -0.44%
OMCL C -0.42%
LFST C -0.31%
TDOC C -0.28%
PGNY F -0.25%
EVH F -0.22%
SDGR C -0.21%
GDRX F -0.2%
ALHC C -0.2%
PHR F -0.17%
ACCD F -0.07%
MODV C -0.03%
TBRG A -0.03%
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