FLHY vs. BTEC ETF Comparison

Comparison of Franklin Liberty High Yield Corporate ETF (FLHY) to Principal Healthcare Innovators Index ETF (BTEC)
FLHY

Franklin Liberty High Yield Corporate ETF

FLHY Description

The investment seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the FTSE Italy RIC Capped Index (the FTSE Italy Capped Index). Under normal market conditions, the fund invests at least 80% of its assets in the component securities of the FTSE Italy Capped Index and in depositary receipts representing such securities. The FTSE Italy Capped Index is based on the FTSE Italy Index and is designed to measure the performance of Italian large- and mid-capitalization stocks. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$23.54

Average Daily Volume

47,462

Number of Holdings *

3

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

Principal Healthcare Innovators Index ETF

BTEC Description The investment seeks to provide investment results that closely correspond, before expenses, to the performance of the Nasdaq Healthcare Innovators Index (the "index"). Under normal circumstances, the fund invests at least 80% of its net assets, plus any borrowings for investment purposes, in equity securities of companies that compose the index at the time of purchase. The index uses a quantitative model designed to identify equity securities in the Nasdaq US Benchmark Index (including growth and value stock) that are small and medium capitalization U.S. healthcare companies.

Grade (RS Rating)

Last Trade

$36.90

Average Daily Volume

6,133

Number of Holdings *

245

* may have additional holdings in another (foreign) market
Performance
Period FLHY BTEC
30 Days 0.68% 0.00%
60 Days 1.22% -5.02%
90 Days 2.08% 2.10%
12 Months 11.07% 2.59%
0 Overlapping Holdings
Symbol Grade Weight in FLHY Weight in BTEC Overlap
FLHY Overweight 3 Positions Relative to BTEC
Symbol Grade Weight
BHC F 1.16%
DVA B 1.03%
CHK B 1.02%
FLHY Underweight 245 Positions Relative to BTEC
Symbol Grade Weight
MRNA B -3.7%
ALNY D -3.16%
ILMN F -2.84%
SRPT B -2.58%
NTRA A -2.39%
EXAS F -2.31%
CTLT C -2.15%
VKTX C -1.75%
CERE A -1.64%
INSP B -1.58%
PCVX D -1.48%
ITCI C -1.45%
ELAN D -1.41%
CYTK D -1.41%
BPMC A -1.4%
RVMD A -1.38%
IONS F -1.34%
APLS F -1.22%
GKOS A -1.11%
BBIO F -1.09%
ALPN A -0.93%
MDGL D -0.92%
NUVL D -0.91%
IMVT F -0.9%
TMDX A -0.9%
INSM D -0.82%
CRNX A -0.79%
RARE D -0.77%
IOVA D -0.77%
AXSM C -0.76%
IRTC C -0.74%
JANX A -0.72%
PRCT A -0.69%
SWTX D -0.69%
FOLD F -0.67%
IDYA D -0.67%
ARWR F -0.65%
AZTA D -0.64%
ENOV F -0.62%
SMMT C -0.62%
ACLX D -0.61%
TXG F -0.6%
CLDX C -0.58%
PTCT B -0.57%
TGTX C -0.56%
RYTM C -0.54%
VERA C -0.53%
TNDM A -0.53%
NARI F -0.53%
ICUI F -0.52%
VCEL C -0.51%
DNLI F -0.51%
KYMR D -0.49%
NTLA F -0.49%
RXST A -0.49%
SANA C -0.48%
ARVN D -0.48%
GERN B -0.48%
DYN D -0.47%
DCPH A -0.47%
KROS D -0.45%
RCKT D -0.45%
RNA A -0.45%
AGIO A -0.44%
BEAM F -0.41%
RXRX F -0.41%
ATEC D -0.41%
TWST B -0.41%
SNDX D -0.41%
EWTX B -0.4%
MYGN D -0.39%
ARDX C -0.36%
INBX D -0.36%
ADMA A -0.35%
DAWN A -0.35%
KURA D -0.35%
PTGX D -0.34%
VCYT D -0.34%
NVCR D -0.34%
XNCR C -0.33%
RCUS F -0.32%
MORF F -0.32%
AKRO F -0.31%
FDMT D -0.3%
TARS C -0.3%
CGEM A -0.29%
MIRM D -0.28%
VIR C -0.28%
SRRK C -0.27%
MRVI C -0.27%
PRTA F -0.27%
TYRA C -0.24%
ATRC F -0.24%
MGNX D -0.23%
SAVA B -0.23%
LQDA D -0.23%
ARQT D -0.23%
EYPT D -0.23%
ALXO B -0.22%
SPRY C -0.22%
BCRX F -0.22%
AVNS D -0.22%
RLAY F -0.22%
VRDN F -0.21%
ELVN B -0.21%
CTKB F -0.2%
EOLS D -0.2%
BLFS B -0.2%
OCUL D -0.2%
CYRX D -0.2%
AUPH F -0.19%
KIDS B -0.19%
YMAB C -0.19%
COGT C -0.19%
KNSA C -0.19%
LBPH B -0.19%
FNA D -0.19%
PLRX F -0.19%
RGNX F -0.19%
ETNB F -0.19%
WVE C -0.18%
ANAB B -0.18%
SILK B -0.18%
SAGE F -0.18%
ZNTL F -0.18%
NVAX D -0.17%
HLVX D -0.17%
ARCT F -0.17%
SIGA A -0.17%
NUVB B -0.17%
LYEL C -0.16%
TMCI F -0.16%
SVRA D -0.16%
PRME F -0.16%
IRON F -0.16%
MLYS D -0.16%
PHAT C -0.15%
CABA F -0.15%
HUMA B -0.15%
SIBN F -0.15%
ORIC D -0.15%
NRIX D -0.15%
QTRX F -0.15%
SRDX C -0.14%
KALV D -0.14%
OABI D -0.14%
AVTE D -0.14%
OLMA F -0.14%
CDMO B -0.14%
CDNA C -0.13%
PEPG C -0.13%
URGN F -0.13%
OFIX F -0.13%
LRMR D -0.13%
ABUS D -0.13%
NKTX D -0.13%
ALEC F -0.13%
THRD B -0.13%
ANIK A -0.12%
ZIMV D -0.12%
EDIT F -0.12%
PLSE D -0.12%
TVTX F -0.12%
TRDA D -0.12%
VYGR D -0.12%
ALLO F -0.12%
TBPH C -0.12%
HRTX D -0.11%
MRSN D -0.11%
NVRO F -0.11%
REPL F -0.11%
LXRX D -0.11%
AURA D -0.11%
ITOS C -0.11%
PACB F -0.11%
BMEA F -0.11%
CELC D -0.11%
VERV F -0.11%
ADPT F -0.11%
CRMD B -0.1%
ERAS D -0.1%
PGEN D -0.1%
ALT D -0.1%
FATE D -0.1%
TNYA D -0.1%
HROW F -0.1%
RVNC F -0.1%
LUNG D -0.1%
AVXL F -0.09%
VTYX F -0.09%
ALDX C -0.09%
CRBU F -0.09%
MGTX F -0.09%
CERS F -0.09%
IGMS C -0.09%
TERN F -0.09%
ANNX D -0.09%
MCRB D -0.08%
CDXS C -0.08%
CHRS F -0.08%
INZY D -0.08%
XERS F -0.08%
TSVT D -0.08%
OMER C -0.08%
ANGO C -0.08%
PSTX D -0.08%
ATNM C -0.08%
ENTA C -0.08%
RAPT F -0.08%
AKYA F -0.07%
OM D -0.07%
QSI C -0.07%
STRO F -0.07%
EBS C -0.07%
AXGN F -0.07%
MACK B -0.07%
FENC D -0.07%
BLUE F -0.06%
BCAB C -0.06%
BFLY F -0.06%
INGN D -0.06%
XFOR D -0.06%
KOD D -0.06%
CUTR D -0.06%
SCPH F -0.06%
RCEL F -0.06%
RIGL D -0.06%
ALLK F -0.05%
KPTI F -0.05%
ACRS D -0.05%
ARAY F -0.05%
CVRX F -0.05%
PDSB F -0.05%
PMVP D -0.05%
OMGA F -0.05%
MURA F -0.04%
EYEN F -0.04%
FGEN F -0.04%
ACET F -0.04%
SGMO F -0.04%
BTAI F -0.04%
ATRA F -0.04%
GRTS F -0.03%
GNLX F -0.03%
MRNS F -0.02%
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