DIVZ vs. AVIE ETF Comparison

Comparison of TrueShares Low Volatility Equity Income ETF (DIVZ) to Avantis Inflation Focused Equity ETF (AVIE)
DIVZ

TrueShares Low Volatility Equity Income ETF

DIVZ Description

The investment seeks to provide capital appreciation with lower volatility and a higher dividend yield compared to the S&P 500 Index. The fund is an actively-managed ETF that seeks to achieve its investment objective by purchasing 25-35 stocks of companies that pay dividends and expect to grow the dividends over time and are trading at attractive valuations at the time of the investment. Under normal circumstances, at least 80% of its net assets, plus borrowings for investment purposes, will be invested in equity securities, including common stocks and American Depositary Receipts (ADRs). The fund is non-diversified.

Grade (RS Rating)

Last Trade

$32.85

Average Daily Volume

17,322

Number of Holdings *

30

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

Avantis Inflation Focused Equity ETF

AVIE Description Avantis Inflation Focused Equity ETF is an exchange traded fund launched and managed by American Century Investment Management Inc. The fund invests in public equity markets of the United States. The fund invests in stocks of companies operating across diversified sectors. It invests in value stocks of small-cap companies. Avantis Inflation Focused Equity ETF is domiciled in the United States.

Grade (RS Rating)

Last Trade

$62.67

Average Daily Volume

477

Number of Holdings *

336

* may have additional holdings in another (foreign) market
Performance
Period DIVZ AVIE
30 Days -0.17% -3.19%
60 Days 3.31% -4.46%
90 Days 7.73% -0.38%
12 Months 24.24% 13.04%
10 Overlapping Holdings
Symbol Grade Weight in DIVZ Weight in AVIE Overlap
CVX B 2.68% 2.72% 2.68%
EOG F 1.74% 0.92% 0.92%
JNJ D 2.98% 1.51% 1.51%
KMI A 4.06% 0.48% 0.48%
KO D 3.2% 2.49% 2.49%
PEP F 2.59% 2.47% 2.47%
PFE D 2.78% 0.76% 0.76%
PM A 4.73% 1.87% 1.87%
UNH D 2.95% 4.06% 2.95%
XOM B 3.89% 5.3% 3.89%
DIVZ Overweight 20 Positions Relative to AVIE
Symbol Grade Weight
NEE D 5.71%
BTI D 4.61%
VZ D 4.3%
SBUX B 3.69%
UPS C 3.6%
MDT B 3.58%
APD B 3.31%
C B 3.27%
KVUE A 3.14%
D B 3.09%
AEP D 2.94%
HSY F 2.88%
OWL B 2.86%
ORCL B 2.33%
MS B 2.2%
GS B 2.19%
AVGO B 2.08%
GPC F 1.86%
LMT D 1.36%
QCOM F 0.89%
DIVZ Underweight 326 Positions Relative to AVIE
Symbol Grade Weight
BRK.A D -6.57%
LLY F -4.51%
PG D -3.65%
ABBV B -2.48%
COP D -1.48%
PGR D -1.47%
AMGN D -1.43%
MRK F -1.29%
VRTX A -1.15%
ELV F -1.13%
GILD A -1.09%
CL D -1.08%
CB D -0.99%
MCK D -0.97%
FCX B -0.91%
KMB D -0.89%
MPC F -0.79%
BMY A -0.75%
REGN F -0.74%
NUE F -0.72%
AFL D -0.72%
TRV B -0.71%
AIG B -0.71%
WMB A -0.71%
PSX F -0.71%
BKR A -0.67%
CTVA A -0.65%
SLB F -0.65%
COR B -0.65%
NEM D -0.63%
LNG A -0.6%
VLO F -0.58%
HIG D -0.58%
ACGL F -0.58%
CAH C -0.57%
ZTS F -0.56%
OKE A -0.56%
DOW F -0.56%
TRGP A -0.55%
HUM F -0.54%
HES C -0.54%
FANG F -0.53%
ADM F -0.51%
CNC D -0.51%
ALL D -0.51%
MET C -0.5%
STLD B -0.48%
LYB F -0.48%
CLX C -0.47%
PRU C -0.47%
OXY F -0.46%
WY D -0.43%
RS C -0.4%
CHD C -0.39%
DVN F -0.39%
STZ F -0.38%
CF B -0.38%
MOH D -0.37%
HAL F -0.36%
FTI B -0.36%
TPL A -0.35%
EQT B -0.34%
ALNY C -0.34%
MNST B -0.32%
KDP F -0.31%
CINF B -0.3%
CTRA F -0.3%
MO A -0.29%
MKL D -0.28%
MRO C -0.28%
RGA D -0.27%
UNM A -0.27%
BIIB F -0.27%
BG F -0.26%
WRB C -0.25%
UTHR A -0.24%
PRI B -0.22%
PFG D -0.22%
CRS B -0.22%
EG F -0.22%
L D -0.21%
TAP C -0.21%
RGLD B -0.21%
X C -0.2%
INGR A -0.2%
MRNA F -0.19%
FMC B -0.19%
ORI C -0.18%
EXEL A -0.18%
NTRA C -0.18%
CLF D -0.18%
ATI F -0.18%
MOS C -0.17%
NBIX D -0.17%
SRPT D -0.17%
RNR B -0.17%
FNF D -0.17%
KNSL F -0.17%
CMC B -0.16%
OVV F -0.16%
INCY A -0.16%
WFRD F -0.15%
RRC C -0.15%
CBT B -0.15%
CHX F -0.15%
DTM A -0.14%
NOV F -0.14%
EXAS B -0.14%
PCVX D -0.14%
APA F -0.14%
RVMD A -0.14%
HSIC F -0.14%
VTRS B -0.13%
OLN F -0.13%
AR F -0.13%
HALO C -0.13%
ERIE F -0.13%
GL C -0.13%
BMRN F -0.13%
AA B -0.13%
SMG A -0.12%
HQY A -0.12%
DAR C -0.12%
CTLT D -0.12%
AFG F -0.12%
DINO F -0.12%
AIZ C -0.12%
CNX B -0.11%
RLI B -0.11%
COKE D -0.11%
AXS B -0.11%
WHD C -0.11%
PCH D -0.1%
AROC C -0.1%
MTDR D -0.1%
HCC B -0.1%
INSM D -0.1%
HL C -0.1%
CC D -0.1%
ITCI A -0.09%
IONS F -0.09%
CHRD F -0.09%
RYN B -0.09%
SM F -0.09%
TDW F -0.09%
FAF D -0.08%
CELH F -0.08%
GNW D -0.08%
LBRT F -0.08%
CYTK F -0.08%
MUR F -0.08%
HUN F -0.08%
RIG D -0.08%
AM D -0.08%
HP C -0.08%
WLK F -0.08%
WDFC A -0.08%
SPB D -0.07%
AGO C -0.07%
OII C -0.07%
PBF F -0.07%
KMPR B -0.07%
AMR D -0.07%
GLNG B -0.07%
CEIX A -0.07%
ELAN F -0.07%
CRSP C -0.07%
PAGP D -0.07%
RPRX D -0.07%
CDE C -0.07%
BTU A -0.07%
CIVI F -0.07%
VAL F -0.07%
PTEN F -0.07%
SIGI D -0.07%
MGY B -0.07%
HWKN D -0.06%
ARCH C -0.06%
MTRN D -0.06%
THG B -0.06%
ALKS C -0.06%
STNG F -0.06%
PR D -0.06%
JAZZ C -0.06%
CRC B -0.06%
ENLC A -0.06%
NOG D -0.06%
BHF C -0.06%
CRGY B -0.05%
HLX F -0.05%
CLOV B -0.05%
VKTX C -0.05%
BBIO F -0.05%
SAM B -0.05%
KALU C -0.05%
CNO B -0.05%
OGN F -0.05%
PCT C -0.05%
ROIV D -0.05%
LNC B -0.05%
UEC C -0.05%
WTM C -0.04%
FDP A -0.04%
GPOR F -0.04%
KOS F -0.04%
CENTA D -0.04%
WS B -0.04%
TROX F -0.04%
BPMC C -0.04%
INSW F -0.04%
PLMR D -0.04%
CNNE B -0.04%
PDCO C -0.04%
ENR B -0.04%
WTTR C -0.03%
FIZZ B -0.03%
ESGR B -0.03%
SFL F -0.03%
LEU C -0.03%
EIG A -0.03%
MP B -0.03%
KNTK B -0.03%
DHT F -0.03%
ADMA C -0.03%
CENX B -0.03%
OSCR D -0.03%
OEC F -0.03%
XPRO F -0.03%
REYN F -0.03%
SXC B -0.03%
PRGO F -0.03%
AESI D -0.03%
NEXT C -0.02%
CNA D -0.02%
TALO D -0.02%
MGPI F -0.02%
RDUS D -0.02%
UVE D -0.02%
TIPT A -0.02%
NR D -0.02%
PARR F -0.02%
MTUS F -0.02%
AMSF B -0.02%
NBR B -0.02%
TRUP B -0.02%
MATV D -0.02%
RYI C -0.02%
DK F -0.02%
CLB B -0.02%
TPB A -0.02%
OMI F -0.02%
PUMP F -0.02%
MCY B -0.02%
STC D -0.02%
CRK B -0.02%
KRP B -0.02%
WKC D -0.02%
IE B -0.02%
KOP F -0.02%
ACAD F -0.02%
LPG F -0.02%
VTOL D -0.02%
SPNT F -0.02%
PGNY F -0.02%
GATO C -0.02%
HMN A -0.02%
HAYN A -0.02%
UVV C -0.02%
HESM F -0.02%
SAFT D -0.02%
HPK D -0.01%
USAP B -0.01%
BOOM F -0.01%
BRY F -0.01%
REPX C -0.01%
NFE F -0.01%
CMT F -0.01%
IPI A -0.01%
TG A -0.01%
CLNE C -0.01%
ALCO D -0.01%
SD F -0.01%
GRNT D -0.01%
CENT D -0.01%
LXU B -0.01%
DGICA A -0.01%
NAPA A -0.01%
KRO B -0.01%
UFCS D -0.01%
FG D -0.01%
METC D -0.01%
EE A -0.01%
CVI F -0.01%
TTI C -0.01%
LMNR C -0.01%
ODC B -0.01%
EGY F -0.01%
LMND B -0.01%
PRA B -0.01%
CMP D -0.01%
NTLA F -0.01%
ASC F -0.01%
GPRE D -0.01%
AMBC D -0.01%
NAT F -0.01%
ZEUS F -0.01%
ASIX C -0.01%
GLRE A -0.01%
VTLE F -0.01%
RES F -0.01%
KRYS D -0.01%
REX C -0.01%
AHCO F -0.01%
KLXE F -0.0%
METCB D -0.0%
EU D -0.0%
TSE D -0.0%
EPM D -0.0%
WTI D -0.0%
MBI C -0.0%
OIS D -0.0%
ACDC D -0.0%
PLL C -0.0%
DNLI C -0.0%
JRVR F -0.0%
AVD F -0.0%
Compare ETFs