FTAG vs. DVY ETF Comparison
Comparison of First Trust Indxx Global Agriculture ETF (FTAG) to iShares Select Dividend ETF (DVY)
FTAG
First Trust Indxx Global Agriculture ETF
FTAG Description
The investment seeks investment results that correspond generally to the price and yield (before the fund's fees and expenses) of an equity index called the Indxx Global Agriculture Index. The fund will normally invest at least 90% of its net assets (including investment borrowings) in common stocks and/or depositary receipts that comprise the index. The index is a market capitalization weighted index designed to measure the performance of companies that are directly or indirectly engaged in improving agricultural yields. The fund is non-diversified.
Grade (RS Rating)
Last Trade
$24.63
Average Daily Volume
1,979
14
DVY
iShares Select Dividend ETF
DVY Description
The investment seeks to track the investment results of an index composed of relatively high dividend paying U.S. equities. The fund generally invests at least 90% of its assets in securities of the underlying index and in depositary receipts representing securities of the underlying index. It seeks to track the investment results of the Dow Jones U.S. Select Dividend Index (the "underlying index"), which measures the performance of a selected group of equity securities issued by companies that have provided relatively high dividend yields on a consistent basis over time.Grade (RS Rating)
Last Trade
$120.62
Average Daily Volume
455,022
98
Performance
Period | FTAG | DVY |
---|---|---|
30 Days | -3.78% | -2.35% |
60 Days | -1.66% | 1.57% |
90 Days | -2.12% | 1.16% |
12 Months | -7.27% | 12.15% |
1 Overlapping Holdings
Symbol | Grade | Weight in FTAG | Weight in DVY | Overlap | |
---|---|---|---|---|---|
FMC | D | 1.47% | 0.84% | 0.84% |
FTAG Underweight 97 Positions Relative to DVY
Symbol | Grade | Weight | |
---|---|---|---|
MO | A | -2.97% | |
T | A | -1.94% | |
IP | A | -1.92% | |
VZ | B | -1.83% | |
PM | B | -1.81% | |
PFE | C | -1.72% | |
TFC | C | -1.68% | |
CFG | C | -1.67% | |
D | D | -1.66% | |
OKE | C | -1.65% | |
BBY | B | -1.63% | |
KEY | D | -1.54% | |
RF | C | -1.48% | |
CAG | D | -1.46% | |
PRU | B | -1.44% | |
EIX | D | -1.38% | |
HPQ | B | -1.37% | |
LYB | D | -1.37% | |
ES | D | -1.34% | |
KMB | A | -1.34% | |
TROW | B | -1.33% | |
ETR | D | -1.32% | |
PEG | B | -1.31% | |
F | D | -1.3% | |
NEE | B | -1.29% | |
HBAN | C | -1.29% | |
NRG | B | -1.28% | |
FE | D | -1.26% | |
AEP | C | -1.26% | |
USB | C | -1.25% | |
NI | B | -1.24% | |
FITB | C | -1.23% | |
WEC | D | -1.2% | |
CVX | C | -1.18% | |
NEM | B | -1.16% | |
PPL | C | -1.15% | |
LNT | C | -1.15% | |
EXC | D | -1.12% | |
DTE | C | -1.08% | |
XOM | D | -1.07% | |
GIS | C | -1.06% | |
IPG | F | -1.05% | |
GILD | C | -1.04% | |
PNW | C | -1.03% | |
STX | B | -1.03% | |
CMS | D | -1.03% | |
SRE | B | -1.0% | |
FNF | C | -1.0% | |
WBA | D | -0.96% | |
FHN | C | -0.95% | |
KO | A | -0.94% | |
PFG | C | -0.93% | |
VLO | D | -0.92% | |
OMC | C | -0.92% | |
ORI | C | -0.92% | |
IBM | C | -0.91% | |
CNP | A | -0.9% | |
XEL | D | -0.9% | |
WSO | B | -0.89% | |
LMT | A | -0.88% | |
PKG | B | -0.87% | |
MET | C | -0.85% | |
WRK | C | -0.85% | |
OGE | B | -0.84% | |
UNM | C | -0.83% | |
CINF | C | -0.81% | |
HRB | A | -0.81% | |
IVZ | C | -0.8% | |
GRMN | B | -0.78% | |
CMA | C | -0.77% | |
BEN | D | -0.76% | |
GPC | D | -0.71% | |
OMF | C | -0.69% | |
MRK | A | -0.67% | |
SON | D | -0.66% | |
WHR | D | -0.59% | |
FNB | C | -0.56% | |
UGI | D | -0.55% | |
IDA | D | -0.55% | |
MCD | D | -0.54% | |
UBSI | D | -0.53% | |
WU | C | -0.52% | |
JHG | B | -0.52% | |
NJR | D | -0.5% | |
LAZ | D | -0.49% | |
SWX | D | -0.47% | |
HUN | D | -0.44% | |
BKH | C | -0.43% | |
MSM | F | -0.43% | |
CC | F | -0.41% | |
NWE | D | -0.37% | |
VLY | F | -0.36% | |
WEN | F | -0.33% | |
NWL | F | -0.32% | |
FHI | D | -0.32% | |
AVA | D | -0.31% | |
KSS | D | -0.28% |
FTAG: Top Represented Industries & Keywords
DVY: Top Represented Industries & Keywords