FLCC vs. QMID ETF Comparison

Comparison of Federated Hermes MDT Large Cap Core ETF (FLCC) to WisdomTree U.S. MidCap Quality Growth Fund (QMID)
FLCC

Federated Hermes MDT Large Cap Core ETF

FLCC Description

The fund seeks to achieve its objective by investing primarily in the common stock of large-cap U.S. companies. It will invest its assets so that at least 80% of its net assets (plus any borrowings for investment purposes) are invested in large-cap companies. The fund manager actively trades its portfolio securities in an attempt to achieve its investment objective.

Grade (RS Rating)

Last Trade

$28.60

Average Daily Volume

1,206

Number of Holdings *

79

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

WisdomTree U.S. MidCap Quality Growth Fund

QMID Description Under normal circumstances, the fund invests at least 80% of its net assets in the constituent securities of its index, each of which is a security issued by a mid-cap company, identified in accordance with the index provider"s market-capitalization selection parameters, that is incorporated and headquartered in the United States.

Grade (RS Rating)

Last Trade

$29.09

Average Daily Volume

339

Number of Holdings *

120

* may have additional holdings in another (foreign) market
Performance
Period FLCC QMID
30 Days 4.31% 4.96%
60 Days 7.12% 6.49%
90 Days 10.43% 6.53%
12 Months
5 Overlapping Holdings
Symbol Grade Weight in FLCC Weight in QMID Overlap
ALSN B 0.71% 0.93% 0.71%
CRUS D 0.39% 0.48% 0.39%
MUSA B 0.47% 0.98% 0.47%
PAYC B 0.66% 1.21% 0.66%
WING D 0.93% 0.84% 0.84%
FLCC Overweight 74 Positions Relative to QMID
Symbol Grade Weight
MSFT D 5.55%
AAPL C 5.33%
GOOGL C 4.82%
NVDA B 3.9%
GDDY A 2.53%
META D 2.49%
VLTO C 2.38%
GEV B 2.21%
SPOT B 2.21%
AMP A 2.16%
ABBV F 1.98%
PRU A 1.92%
NTNX B 1.68%
PM B 1.61%
AMZN C 1.6%
FTNT C 1.58%
APP B 1.57%
STT B 1.5%
BK A 1.49%
COST A 1.48%
ANET C 1.45%
QCOM F 1.42%
IBKR A 1.23%
JNJ C 1.15%
NTRS A 1.05%
TRV B 1.05%
KRC B 1.03%
EXPE B 0.99%
GILD C 0.96%
SN D 0.96%
KMB C 0.9%
GAP C 0.84%
LNG A 0.84%
PGR A 0.79%
MRK D 0.76%
CL D 0.74%
PPG F 0.71%
AMGN F 0.63%
RCL A 0.63%
COR B 0.61%
ZM C 0.59%
INCY C 0.59%
PEGA B 0.57%
MA B 0.56%
EOG A 0.56%
VRT B 0.54%
VRSK A 0.53%
BAH F 0.52%
AMAT F 0.51%
KR B 0.51%
AAP D 0.5%
ELAN D 0.5%
MPC D 0.48%
CEG C 0.47%
TRGP A 0.47%
ZTS D 0.46%
PEP F 0.45%
TT A 0.44%
EBAY D 0.44%
LII A 0.42%
ORCL A 0.38%
CRBG B 0.38%
EIX B 0.38%
ORLY B 0.36%
PLTR B 0.36%
FMC D 0.36%
MU D 0.33%
VRTX D 0.33%
NEM D 0.32%
PVH C 0.32%
TJX A 0.3%
ILMN C 0.3%
REGN F 0.29%
ACGL C 0.29%
FLCC Underweight 115 Positions Relative to QMID
Symbol Grade Weight
UI B -1.83%
PODD C -1.67%
UTHR C -1.6%
DOCU B -1.54%
COHR B -1.5%
FIX A -1.44%
CASY A -1.41%
TOL B -1.41%
EPAM B -1.35%
CHWY B -1.29%
CLH C -1.27%
PFGC B -1.26%
LBRDK C -1.25%
TXRH B -1.2%
JKHY D -1.17%
TTEK F -1.16%
HLI A -1.16%
SAIA B -1.15%
PCTY C -1.11%
COKE C -1.1%
MGM D -1.09%
TECH F -1.08%
BJ A -1.08%
GNRC C -1.08%
EVR B -1.08%
LW C -1.07%
LECO C -1.04%
KNSL B -1.02%
AAON B -1.01%
MEDP D -1.0%
SIRI C -1.0%
WCC B -0.98%
FND D -0.97%
LAD A -0.96%
MLI B -0.95%
CRL D -0.95%
CHDN B -0.95%
MKTX D -0.94%
EXEL B -0.93%
EXP B -0.93%
TPX B -0.89%
TKO A -0.88%
DBX B -0.86%
SKX D -0.84%
PEN B -0.83%
BRBR A -0.82%
CNM D -0.82%
TTC C -0.81%
GPK C -0.8%
ENSG C -0.78%
PR B -0.77%
APPF B -0.76%
BRKR D -0.76%
UFPI C -0.76%
DINO D -0.76%
TREX C -0.75%
CHE D -0.74%
APA D -0.74%
MTCH D -0.74%
ONTO F -0.73%
RLI A -0.73%
OLED F -0.72%
SSD F -0.72%
MTDR B -0.72%
HLNE B -0.71%
TMHC C -0.71%
EXLS B -0.69%
SAIC F -0.69%
HALO F -0.68%
DAR C -0.68%
SITE F -0.67%
CMC B -0.65%
CHH A -0.65%
OMF A -0.65%
LSTR D -0.64%
AM A -0.64%
BYD B -0.64%
WSC F -0.63%
SPSC D -0.63%
LSCC D -0.63%
ELF C -0.63%
AN C -0.62%
MTH D -0.6%
BMI B -0.6%
DDS B -0.59%
AGCO D -0.59%
VNT C -0.58%
CROX D -0.58%
KBH D -0.57%
AMKR D -0.57%
COOP B -0.57%
CLF F -0.57%
THO B -0.55%
MGY A -0.54%
CHRD D -0.54%
ETSY D -0.54%
NXST C -0.53%
ABG C -0.53%
BCC B -0.52%
LNTH D -0.51%
IBP D -0.51%
DY D -0.49%
SM B -0.48%
OLN F -0.47%
EXPO D -0.47%
TNET F -0.46%
FIVE F -0.46%
QLYS B -0.44%
CIVI D -0.43%
ZI D -0.36%
OPCH D -0.34%
PBF D -0.34%
ALGM D -0.33%
ATKR D -0.25%
NFE D -0.1%
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