FFLS vs. CLSE ETF Comparison

Comparison of The Future Fund Long/Short ETF (FFLS) to Convergence Long/Short Equity ETF (CLSE)
FFLS

The Future Fund Long/Short ETF

FFLS Description

Under normal conditions, the fund, which is an actively managed exchange traded fund or "ETF", will invest at least 80% of its assets in long and short positions in U.S. exchange-listed equity securities and American Depositary Receipts (ADRs). The fund may invest in the equity securities of companies of any market capitalization although the fund will primarily invest (at least 65% of its assets) in mid and large capitalization companies (companies with market capitalizations in excess of $2 billion). The fund is non-diversified.

Grade (RS Rating)

Last Trade

$23.89

Average Daily Volume

4,616

Number of Holdings *

49

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

Convergence Long/Short Equity ETF

CLSE Description The investment seeks long-term capital growth. The fund seeks to invest, under normal market conditions, at least 80% of its net assets (plus any borrowings for investment purposes) in long and short positions in equity securities of domestic companies. The adviser intends to maintain a net long exposure (the market value of long positions minus the market value of short positions) of approximately 50% to 100%. Under normal market conditions, the fund’s long positions may range from approximately 90% to 150% and its short positions may range from approximately 20% to 70%.

Grade (RS Rating)

Last Trade

$23.68

Average Daily Volume

65,624

Number of Holdings *

337

* may have additional holdings in another (foreign) market
Performance
Period FFLS CLSE
30 Days 1.99% 4.18%
60 Days 6.37% 7.10%
90 Days 4.48% 9.38%
12 Months 20.30% 39.93%
21 Overlapping Holdings
Symbol Grade Weight in FFLS Weight in CLSE Overlap
ABNB C 2.88% -0.34% -0.34%
AFRM A -0.72% -0.35% -0.72%
APH A -1.71% 0.67% -1.71%
CELH F 0.96% -0.24% -0.24%
CRL D -1.08% -0.15% -1.08%
EW C 2.79% -0.16% -0.16%
FND D 2.13% -0.53% -0.53%
FTI A 3.32% 0.74% 0.74%
GLW B 2.41% 0.52% 0.52%
GOOGL C 6.34% 3.47% 3.47%
GTLB B 3.21% -0.32% -0.32%
GTLS A 2.24% -0.15% -0.15%
HALO F 1.15% 0.9% 0.9%
LPLA A 4.05% -0.34% -0.34%
MU D 3.43% 2.13% 2.13%
NFLX A 4.64% 0.79% 0.79%
NVDA B 7.31% 4.61% 4.61%
ON D -2.01% -0.39% -2.01%
RH C -1.38% -0.47% -1.38%
VRT B -2.13% 0.68% -2.13%
VRTX D 1.95% 0.23% 0.23%
FFLS Overweight 28 Positions Relative to CLSE
Symbol Grade Weight
CRM B 4.74%
DASH B 3.88%
ERJ A 3.29%
UBER F 3.26%
LLY F 3.14%
PANW B 2.98%
DDOG A 2.84%
AMD F 2.41%
DKNG B 2.08%
YETI D 1.85%
GPRE F 1.8%
BABA D 1.68%
JD D 1.53%
ONON A 1.06%
KTOS B 1.04%
GLOB B 0.88%
ACHC F -1.07%
ISRG A -1.58%
MEDP D -1.78%
ROL B -1.83%
HRB D -2.37%
NXPI D -2.54%
FAST B -2.83%
PWR A -2.84%
PVH C -2.91%
URI C -3.13%
FICO B -3.28%
COIN C -3.76%
FFLS Underweight 316 Positions Relative to CLSE
Symbol Grade Weight
META D -3.3%
AMZN C -2.53%
AVGO D -2.28%
APP B -2.25%
HPE B -1.92%
CVNA B -1.85%
ANET C -1.83%
WMT A -1.82%
QCOM F -1.73%
IDCC B -1.51%
GDDY A -1.42%
CVLT B -1.4%
DOCU B -1.37%
PYPL B -1.33%
ORCL A -1.33%
ACIW B -1.3%
TSLA B -1.22%
JHG B -1.21%
NTNX B -1.16%
HD B -1.13%
SYF B -1.11%
BMY B -1.11%
NTRS A -1.08%
GILD C -1.07%
SNEX B -1.06%
PLTR B -1.02%
NTAP C -1.0%
LNG A -0.97%
SEIC B -0.95%
AMRX C -0.9%
BFH C -0.88%
GM C -0.87%
COR B -0.86%
CAH B -0.86%
PPC C -0.85%
GVA A -0.84%
MLI B -0.84%
CARG B -0.83%
AAPL C -0.83%
JNJ C -0.83%
BAC A -0.81%
PRIM A -0.8%
MO A -0.79%
THC D -0.78%
FITB B -0.78%
DVA C -0.78%
IESC C -0.77%
CPNG D -0.77%
EME A -0.75%
WFC A -0.75%
CNX A -0.74%
UTHR C -0.73%
PNC B -0.72%
ABBV F -0.72%
RF A -0.72%
STRL A -0.71%
ZION B -0.71%
CMA B -0.71%
NRG B -0.71%
UHS D -0.7%
TMUS B -0.7%
CEIX A -0.7%
GEN B -0.68%
UMBF B -0.66%
ALSN B -0.66%
MTZ B -0.66%
AVT C -0.66%
MWA B -0.65%
BLK B -0.65%
JPM A -0.64%
CHRW B -0.61%
EXPE B -0.61%
TSN B -0.6%
FFIV B -0.6%
FTDR B -0.58%
AMG B -0.58%
LDOS C -0.55%
VST A -0.55%
RGA A -0.55%
MET A -0.52%
SLVM B -0.5%
GOOG C -0.49%
UI B -0.49%
EXP B -0.48%
CACI D -0.48%
PNW A -0.48%
AVA A -0.47%
UNP C -0.47%
PGR A -0.46%
DUOL A -0.45%
PG C -0.45%
ALL A -0.45%
BKNG A -0.44%
LPX B -0.43%
CTRE C -0.42%
SCCO F -0.41%
RMD C -0.4%
JXN C -0.39%
SR A -0.38%
R B -0.38%
SPG A -0.37%
CNA C -0.37%
CF A -0.37%
GRMN B -0.37%
OUT A -0.36%
EQR C -0.35%
CCL A -0.35%
CDP C -0.34%
RGLD C -0.32%
CNC D -0.31%
PTON A -0.31%
LAMR C -0.31%
J D -0.31%
MPWR F -0.3%
CVS D -0.29%
VLO C -0.29%
T A -0.29%
MDT D -0.29%
IIPR D -0.28%
APA D -0.25%
NVR D -0.24%
MATX C -0.22%
NEM D -0.22%
TOL B -0.22%
EEFT B -0.22%
FLR B -0.21%
JLL D -0.2%
MUSA B -0.2%
ABM B -0.19%
BAH F -0.18%
KR B -0.17%
NTRA A -0.17%
BOX B -0.17%
JAZZ B -0.16%
FOXA A -0.14%
EXPD C -0.14%
FN C -0.13%
PRU A -0.13%
VCTR B -0.12%
VCYT B -0.12%
CINF A -0.12%
CDE C -0.11%
ILMN C -0.1%
AEIS C -0.07%
INCY C -0.07%
HQY A -0.07%
QQQ B -0.0%
LNTH D -0.0%
LRCX F -0.0%
PENN C --0.05%
KNX C --0.06%
HGV C --0.06%
HUN F --0.07%
EXAS D --0.07%
RYN D --0.07%
COOP B --0.07%
CCS D --0.07%
BC C --0.08%
JOE F --0.08%
AES F --0.08%
FLYW B --0.08%
GNTX C --0.09%
JBLU F --0.09%
NSC B --0.1%
MCW C --0.1%
ABG C --0.1%
ATO A --0.1%
ACVA B --0.11%
ENPH F --0.11%
CGON F --0.11%
EL F --0.12%
RBA A --0.12%
FL F --0.12%
PCH F --0.12%
DLR B --0.13%
EXR C --0.13%
STLD B --0.13%
AVAV C --0.13%
ALIT C --0.13%
VMC B --0.13%
MLM C --0.13%
BPOP C --0.14%
PYCR B --0.14%
DAY B --0.14%
REXR F --0.14%
ARWR D --0.14%
MKL A --0.14%
AA A --0.14%
EQIX A --0.14%
CZR F --0.15%
COLD D --0.15%
APD A --0.15%
RNR C --0.15%
DRVN B --0.15%
NARI C --0.16%
FIVN C --0.16%
BHF C --0.16%
XPO B --0.16%
OSK C --0.16%
LGIH F --0.16%
DAR C --0.16%
ALB B --0.16%
UHAL D --0.16%
AGO B --0.16%
SITE F --0.16%
SW A --0.17%
TEX F --0.17%
TREX C --0.17%
MDGL B --0.17%
LKQ F --0.17%
MASI B --0.17%
AJG A --0.17%
KRG B --0.17%
ENOV C --0.18%
CHDN B --0.18%
UEC B --0.18%
EBC B --0.18%
AGCO D --0.18%
COTY F --0.18%
AL B --0.18%
CNH C --0.18%
BRKR D --0.18%
C A --0.19%
WAL B --0.19%
AIR B --0.19%
KNSL B --0.2%
SRE A --0.2%
GATX A --0.2%
BIRK D --0.2%
BE B --0.21%
AESI B --0.21%
NOG B --0.21%
WTM A --0.21%
PRCT B --0.22%
BANC B --0.22%
MTN C --0.22%
SAIA B --0.22%
SUM B --0.22%
EQT B --0.23%
PSA C --0.23%
XYL D --0.23%
WTRG B --0.24%
ELF C --0.24%
IONS F --0.24%
GPOR B --0.24%
HSY F --0.24%
DELL B --0.25%
LW C --0.25%
KEY B --0.25%
BILL A --0.26%
NEOG F --0.26%
AUR C --0.26%
AWK C --0.26%
VAL F --0.27%
FOUR A --0.27%
STNE F --0.27%
TEAM A --0.27%
MSCI C --0.27%
PTEN C --0.27%
MNST C --0.28%
SOFI B --0.28%
ESTC C --0.29%
MDB B --0.29%
XP F --0.29%
MKTX D --0.29%
CYTK F --0.3%
LYV A --0.3%
NDAQ A --0.3%
APLS F --0.3%
APTV F --0.32%
VVV D --0.33%
CCOI B --0.33%
ZBRA B --0.34%
INSP D --0.34%
FCNCA A --0.35%
APO B --0.35%
CACC D --0.36%
COHR B --0.36%
BBIO F --0.36%
ZI D --0.36%
BEN C --0.36%
DG F --0.4%
SATS D --0.4%
BA F --0.4%
RBLX C --0.41%
DLTR F --0.41%
PINS F --0.41%
U C --0.41%
RIVN F --0.42%
TTWO A --0.43%
WBD B --0.43%
SNPS B --0.44%
ALGM D --0.45%
DV C --0.45%
CGNX D --0.45%
GE D --0.46%
CDNS B --0.46%
MRNA F --0.47%
SMCI F --0.47%
CFLT B --0.47%
CHTR C --0.48%
CSCO B --0.52%
BRZE C --0.56%
FIVE F --0.56%
NWS A --0.57%
WST C --0.59%
LITE B --0.6%
POOL C --0.61%
MCHP F --0.63%
DXCM C --0.63%
WDC D --0.65%
LSCC D --0.7%
ROP B --0.7%
TXN C --0.81%
INTC C --0.93%
FSLR F --1.26%
Compare ETFs