FTXH vs. MVPS ETF Comparison

Comparison of First Trust Nasdaq Pharmaceuticals ETF (FTXH) to Amplify Thematic All-Stars ETF (MVPS)
FTXH

First Trust Nasdaq Pharmaceuticals ETF

FTXH Description

The First Trust Nasdaq Pharmaceuticals ETF is an exchange-traded fund. The investment objective of the Fund is to seek investment results that correspond generally to the price and yield, before the Fund's fees and expenses, of an index called the Nasdaq US Smart Pharmaceuticals Index. The Fund seeks to replicate the holdings and weightings of the Nasdaq US Smart Pharmaceuticals Index so as to generate performance results 95% correlated to that of the Nasdaq US Smart Pharmaceuticals Index.

Grade (RS Rating)

Last Trade

$27.50

Average Daily Volume

3,929

Number of Holdings *

48

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

Amplify Thematic All-Stars ETF

MVPS Description The investment seeks investment results that generally correspond (before fees and expenses) to the price and yield of the ETF All-Stars Thematic Composite Index. The index seeks to provide access to the equity securities of a diversified basket of U.S. and non-U.S. companies that are owned by exchange-traded funds included in select thematic market segments. The fund invests in the underlying securities held by the ETFs, which include common stocks and/or depositary receipts. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$21.46

Average Daily Volume

446

Number of Holdings *

101

* may have additional holdings in another (foreign) market
Performance
Period FTXH MVPS
30 Days 1.58% 0.53%
60 Days 5.94% 9.56%
90 Days -0.24% 0.25%
12 Months 4.79% 13.68%
2 Overlapping Holdings
Symbol Grade Weight in FTXH Weight in MVPS Overlap
ABBV B 7.09% 1.04% 1.04%
CRSP D 0.38% 0.33% 0.33%
FTXH Overweight 46 Positions Relative to MVPS
Symbol Grade Weight
PFE C 7.47%
MRK A 7.38%
JNJ C 6.65%
BMY D 5.94%
UTHR A 4.39%
LLY B 4.32%
VRTX B 4.14%
AMGN B 4.07%
REGN A 3.98%
BIIB C 3.84%
CAH B 3.32%
GILD C 3.28%
ZTS C 3.17%
JAZZ F 3.11%
VTRS D 3.01%
OGN B 2.96%
CRL D 1.8%
HALO B 1.58%
MEDP B 1.46%
PRGO F 1.24%
INCY B 1.11%
ALKS C 0.96%
ELAN B 0.93%
EXEL C 0.87%
NBIX C 0.86%
PBH C 0.75%
MRUS B 0.59%
BPMC B 0.57%
KRYS B 0.57%
ILMN F 0.54%
BMRN C 0.51%
ITCI B 0.51%
ACLX B 0.5%
RYTM B 0.49%
TGTX B 0.49%
SRPT C 0.47%
NUVL B 0.47%
IONS C 0.46%
IDYA D 0.43%
RARE F 0.4%
KYMR D 0.38%
EXAS D 0.37%
VKTX D 0.35%
ACAD D 0.33%
BEAM D 0.31%
ARVN F 0.28%
FTXH Underweight 99 Positions Relative to MVPS
Symbol Grade Weight
NVDA B -5.76%
TSLA C -4.83%
CRWD B -4.23%
GOOGL A -3.66%
FSLR C -3.21%
AVGO B -3.12%
MSFT A -2.93%
PANW B -2.69%
COIN C -2.6%
AMZN A -2.47%
META B -2.43%
QCOM B -2.38%
ENPH D -2.1%
AMD B -1.95%
SQ F -1.84%
ZS C -1.83%
CSCO C -1.78%
NET D -1.41%
AAPL B -1.33%
ORCL B -1.31%
RBLX C -1.18%
FTNT F -1.16%
OKTA F -1.11%
S D -1.0%
SHOP C -0.99%
PATH F -0.99%
NOW C -0.96%
CRM D -0.89%
ISRG A -0.89%
CYBR B -0.85%
QLYS D -0.82%
ECL A -0.75%
AKAM F -0.75%
XYL B -0.74%
IBM C -0.74%
HOOD B -0.71%
INTC F -0.71%
ADBE C -0.68%
DDOG C -0.65%
CHKP B -0.64%
ALB F -0.64%
VRNS C -0.62%
MU B -0.6%
TENB F -0.59%
TER B -0.59%
NFLX A -0.52%
U F -0.52%
ROKU F -0.5%
NXPI B -0.49%
ANET B -0.48%
VLTO B -0.47%
DHR B -0.44%
RUN C -0.42%
ITRI C -0.42%
BABA F -0.42%
ADI B -0.42%
RPD D -0.41%
PLTR C -0.4%
SEDG F -0.4%
PSTG B -0.39%
AWK B -0.39%
MSTR C -0.38%
PYPL D -0.36%
AVAV C -0.36%
BAH B -0.35%
ROP A -0.34%
HUBS D -0.34%
FFIV D -0.34%
ZM D -0.33%
AMBA C -0.32%
MARA C -0.3%
SNOW F -0.3%
DKNG C -0.29%
UBER C -0.29%
ON D -0.29%
MDB D -0.28%
ARRY D -0.28%
SPOT B -0.28%
PLUG F -0.28%
CLSK C -0.28%
SNPS B -0.28%
TTD A -0.27%
PNR C -0.27%
CGNX B -0.26%
DT F -0.26%
TOST C -0.26%
NOC D -0.26%
TTEK B -0.25%
APTV D -0.25%
BMI B -0.25%
DOCN C -0.25%
WMS C -0.25%
MRNA C -0.25%
ORA C -0.25%
SNAP C -0.25%
IRDM F -0.23%
CNM C -0.23%
MELI B -0.23%
BE C -0.22%
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