DFND vs. ACVF ETF Comparison

Comparison of Realty Shares DIVCON Dividend Defender ETF (DFND) to American Conservative Values ETF (ACVF)
DFND

Realty Shares DIVCON Dividend Defender ETF

DFND Description

The investment seeks long-term capital appreciation by tracking the performance, before fees and expenses, of the Reality Shares DIVCON Dividend Defender Index. The index is designed to select the companies for a long position that have the highest probability of increasing their dividend in a 12-month period and select the companies for a short position that have the highest probability of decreasing their dividend in a 12-month period. Under normal circumstances, at least 80% of the fund's assets (other than collateral held from securities lending, if any) will be invested in component securities of the benchmark index. It is non-diversified.

Grade (RS Rating)

Last Trade

$42.88

Average Daily Volume

851

Number of Holdings *

70

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

American Conservative Values ETF

ACVF Description The investment seeks to achieve long-term capital appreciation; capital preservation is the secondary objective. Under normal circumstances, the fund seeks to meet its investment objective by investing at least 80% of its net assets, plus borrowings for investment purposes, if any, in equity securities of U.S. companies that meet its politically conservative criteria. The equity securities in which It invests will generally be those of companies with large market capitalizations.

Grade (RS Rating)

Last Trade

$45.63

Average Daily Volume

7,781

Number of Holdings *

363

* may have additional holdings in another (foreign) market
Performance
Period DFND ACVF
30 Days -1.19% 3.66%
60 Days 2.16% 5.20%
90 Days 12.82% 6.60%
12 Months 12.95% 31.26%
52 Overlapping Holdings
Symbol Grade Weight in DFND Weight in ACVF Overlap
ACN C 0.34% 0.88% 0.34%
ADI D 1.37% 0.44% 0.44%
ALB C 1.01% 0.01% 0.01%
AMAT F 1.59% 0.52% 0.52%
AON A 1.52% 0.17% 0.17%
AVGO D 0.86% 2.01% 0.86%
BR A 0.75% 0.06% 0.06%
CB C 1.39% 0.38% 0.38%
CBOE B 1.26% 0.18% 0.18%
CME A 1.24% 0.45% 0.45%
CMI A 2.09% 0.16% 0.16%
CNP B -2.56% 0.03% -2.56%
COST B 1.2% 1.72% 1.2%
CSCO B 1.5% 1.59% 1.5%
CTAS B 2.6% 0.4% 0.4%
D C -2.96% 0.03% -2.96%
DHI D 1.47% 0.11% 0.11%
ETN A 1.74% 0.61% 0.61%
F C -2.41% 0.12% -2.41%
FAST B 1.13% 0.11% 0.11%
FCX D -1.86% 0.18% -1.86%
GWW B 2.25% 0.11% 0.11%
HON B 1.45% 0.47% 0.47%
HSY F 1.36% 0.05% 0.05%
INTC D -1.08% 0.32% -1.08%
INTU C 0.78% 0.92% 0.78%
IP B -2.32% 0.07% -2.32%
ITW B 1.71% 0.14% 0.14%
J F 1.42% 0.04% 0.04%
KLAC D 2.42% 0.3% 0.3%
LIN D 1.2% 0.85% 0.85%
LMT D 2.05% 0.34% 0.34%
LUV C -2.05% 0.06% -2.05%
MA C 1.75% 1.7% 1.7%
MCD D 2.2% 1.0% 1.0%
MCHP D 0.08% 0.06% 0.06%
MCO B 1.85% 0.42% 0.42%
MMC B 1.21% 0.26% 0.26%
MPC D 2.11% 0.28% 0.28%
MSCI C 1.33% 0.06% 0.06%
MSFT F 1.0% 4.56% 1.0%
MSI B 1.86% 0.83% 0.83%
NWS B -1.96% 0.13% -1.96%
ODFL B 0.88% 0.08% 0.08%
PG A 2.27% 1.53% 1.53%
PHM D 2.0% 0.03% 0.03%
PPG F 1.77% 0.07% 0.07%
ROK B 1.65% 0.03% 0.03%
SHW A 2.25% 0.21% 0.21%
SW A -2.15% 0.02% -2.15%
T A -2.19% 0.18% -2.19%
VRSK A 2.44% 0.32% 0.32%
DFND Overweight 18 Positions Relative to ACVF
Symbol Grade Weight
V A 2.68%
SNA A 2.66%
FDS B 2.22%
NDSN B 2.22%
BRO B 2.13%
ALLE D 1.51%
MPWR F 1.31%
HUBB B 1.27%
CMCSA B 1.15%
LW C 1.13%
AOS F 1.09%
AAPL C 0.95%
GL B 0.93%
MLM B 0.8%
PARA C -0.33%
APA D -0.82%
VFC C -1.1%
DVN F -1.12%
DFND Underweight 311 Positions Relative to ACVF
Symbol Grade Weight
NVDA C -7.98%
BRK.A B -2.76%
TSLA B -1.92%
HD A -1.77%
LLY F -1.48%
XOM B -1.46%
ORCL B -1.18%
TMUS B -1.05%
ADBE C -0.98%
NOW A -0.95%
BKNG A -0.94%
PEP F -0.9%
TJX A -0.88%
FI A -0.79%
ABBV D -0.77%
SO D -0.75%
CVX A -0.73%
ANET C -0.7%
WFC A -0.7%
MDLZ F -0.65%
MRK F -0.65%
SPGI C -0.62%
ISRG A -0.62%
CI F -0.58%
PM B -0.58%
TXN C -0.56%
AMD F -0.55%
CPRT A -0.54%
QCOM F -0.52%
TMO F -0.52%
UBER D -0.51%
ABT B -0.51%
NEE D -0.51%
CAT B -0.51%
SNPS B -0.5%
DHR F -0.49%
ORLY B -0.48%
MAR B -0.48%
SPOT B -0.48%
PANW C -0.48%
ROP B -0.46%
CDNS B -0.46%
GRMN B -0.46%
C A -0.45%
GE D -0.45%
RTX C -0.44%
WM A -0.44%
CHTR C -0.43%
BX A -0.42%
LRCX F -0.39%
DE A -0.39%
RSG A -0.38%
UNP C -0.38%
ADP B -0.38%
ICE C -0.38%
FICO B -0.38%
AMGN D -0.37%
ABNB C -0.37%
VRSN F -0.35%
BMY B -0.35%
ELV F -0.34%
DFS B -0.34%
MS A -0.33%
PLD D -0.33%
EXPE B -0.33%
PNC B -0.33%
MU D -0.32%
DASH A -0.32%
ROST C -0.31%
SYK C -0.31%
VRTX F -0.31%
OMC C -0.3%
ADSK A -0.3%
MDT D -0.29%
BSX B -0.29%
MCK B -0.28%
EA A -0.28%
AZO C -0.28%
USB A -0.26%
MET A -0.25%
CTSH B -0.25%
EQIX A -0.24%
HPE B -0.23%
MO A -0.23%
REGN F -0.22%
COP C -0.22%
KKR A -0.22%
GEV B -0.21%
EMR A -0.21%
CL D -0.21%
ZBRA B -0.21%
UPS C -0.21%
TTWO A -0.21%
WDAY B -0.21%
FFIV B -0.21%
TFC A -0.2%
JCI C -0.2%
AMP A -0.2%
APH A -0.2%
IPG D -0.19%
SCHW B -0.19%
PH A -0.19%
MNST C -0.19%
AMT D -0.19%
TSCO D -0.19%
CSX B -0.19%
IT C -0.19%
ANSS B -0.18%
HUM C -0.18%
HLT A -0.18%
TT A -0.18%
GPN B -0.18%
NOC D -0.18%
RBA A -0.17%
APD A -0.17%
CVS D -0.17%
STZ D -0.17%
BA F -0.17%
FTNT C -0.17%
NXPI D -0.17%
ZTS D -0.16%
ECL D -0.16%
MANH D -0.16%
CRWD B -0.16%
JBL B -0.16%
COF B -0.16%
SLB C -0.15%
PSA D -0.15%
HPQ B -0.15%
FDX B -0.15%
LAD A -0.14%
LHX C -0.14%
FOXA B -0.14%
PCAR B -0.14%
BDX F -0.14%
CBRE B -0.14%
BLDR D -0.14%
DUK C -0.13%
PAYX C -0.13%
EOG A -0.13%
COR B -0.13%
FIS C -0.13%
FITB A -0.12%
SKX D -0.12%
WELL A -0.12%
TDG D -0.12%
FOX A -0.12%
NWSA B -0.12%
KMI A -0.11%
DLR B -0.11%
PINS D -0.1%
CCI D -0.1%
STT A -0.1%
LYV A -0.1%
CTVA C -0.1%
RCL A -0.1%
RJF A -0.09%
OKE A -0.09%
LEN D -0.09%
OXY D -0.09%
GILD C -0.09%
MMM D -0.09%
HCA F -0.09%
EBAY D -0.09%
RKT F -0.09%
WMB A -0.09%
NUE C -0.09%
NTRS A -0.08%
SPG B -0.08%
GLW B -0.08%
BKR B -0.08%
CEG D -0.08%
GD F -0.08%
KMB D -0.08%
EW C -0.08%
RF A -0.08%
MGM D -0.08%
PEG A -0.08%
WTW B -0.08%
CAH B -0.07%
BK A -0.07%
GEHC F -0.07%
AME A -0.07%
NEM D -0.07%
GIS D -0.07%
CFG B -0.07%
WAB B -0.07%
EFX F -0.07%
VLTO D -0.07%
ADM D -0.07%
XEL A -0.07%
HIG B -0.07%
TROW B -0.07%
IR B -0.07%
CARR D -0.07%
IQV D -0.07%
GPC D -0.06%
BALL D -0.06%
UAL A -0.06%
KEYS A -0.06%
BBY D -0.06%
CNC D -0.06%
ETSY D -0.06%
EIX B -0.06%
AFL B -0.06%
KSS F -0.06%
EQR B -0.06%
A D -0.06%
DRI B -0.06%
DG F -0.06%
UAA C -0.06%
AVB B -0.06%
UA C -0.06%
AAL B -0.06%
TRV B -0.05%
FTV C -0.05%
AIG B -0.05%
FE C -0.05%
CHD B -0.05%
HBAN A -0.05%
ALL A -0.05%
CDW F -0.05%
DD D -0.05%
NSC B -0.05%
DXCM D -0.05%
ILMN D -0.05%
WEC A -0.05%
TYL B -0.05%
LVS C -0.05%
OTIS C -0.05%
HAL C -0.05%
AJG B -0.05%
CINF A -0.05%
KHC F -0.05%
KEY B -0.04%
L A -0.04%
KR B -0.04%
YUM B -0.04%
HES B -0.04%
IDXX F -0.04%
DPZ C -0.04%
APTV D -0.04%
VEEV C -0.04%
AMCR D -0.04%
RMD C -0.04%
DTE C -0.04%
EXPD D -0.04%
PKG A -0.04%
STX D -0.04%
ES D -0.04%
WY D -0.04%
LH C -0.04%
LYB F -0.04%
PRU A -0.04%
VMC B -0.03%
MKC D -0.03%
TPR B -0.03%
BWA D -0.03%
EL F -0.03%
DLTR F -0.03%
PWR A -0.03%
CHRW C -0.03%
ZBH C -0.03%
PFG D -0.03%
POOL C -0.03%
DOW F -0.03%
SYY B -0.03%
EXC C -0.03%
AEP D -0.03%
VTR C -0.03%
ULTA F -0.03%
SRE A -0.03%
IFF D -0.02%
JBHT C -0.02%
BIIB F -0.02%
SBAC D -0.02%
PVH C -0.02%
MOS F -0.02%
RL B -0.02%
HST C -0.02%
ARE D -0.02%
PAYC B -0.02%
LKQ D -0.02%
WBA F -0.02%
HOLX D -0.02%
INCY C -0.02%
XYL D -0.02%
WYNN D -0.02%
AWK D -0.02%
MKTX D -0.02%
O D -0.02%
BBWI D -0.02%
FMC D -0.01%
CE F -0.01%
AES F -0.01%
AEE A -0.01%
AAP C -0.01%
SLVM B -0.01%
ED D -0.01%
PHIN A -0.01%
HAS D -0.01%
BEN C -0.01%
SYF B -0.01%
SOLV C -0.01%
CLX B -0.01%
MAA B -0.01%
EXR D -0.01%
MTD D -0.0%
EMBC C -0.0%
FTRE D -0.0%
IVZ B -0.0%
Compare ETFs