FTXO vs. FQAL ETF Comparison

Comparison of First Trust Nasdaq Bank ETF (FTXO) to Fidelity Quality Factor ETF (FQAL)
FTXO

First Trust Nasdaq Bank ETF

FTXO 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 Nasdaq US Smart Banks Index. The fund will normally invest at least 90% of its net assets (including investment borrowings) in the common stocks and depository receipts that comprise the underlying index. The index is designed to provide exposure to U.S. companies comprising the banking sector that have been selected based upon their liquidity and weighted based upon their cumulative score on three investing factors: volatility, value and growth. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$34.17

Average Daily Volume

42,331

Number of Holdings *

50

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

Fidelity Quality Factor ETF

FQAL Description The fund seeks to provide investment returns that correspond, before fees and expenses, generally to the performance of the Fidelity U.S. Quality Factor Index. Normally investing at least 80% of assets in securities included in the Fidelity U.S. Quality Factor Index, which is designed to reflect the performance of stocks of large and mid-capitalization U.S. companies with a higher quality profile than the broader market.

Grade (RS Rating)

Last Trade

$66.98

Average Daily Volume

29,990

Number of Holdings *

124

* may have additional holdings in another (foreign) market
Performance
Period FTXO FQAL
30 Days 11.81% 1.33%
60 Days 16.64% 4.33%
90 Days 17.19% 5.53%
12 Months 61.47% 30.15%
3 Overlapping Holdings
Symbol Grade Weight in FTXO Weight in FQAL Overlap
CBSH B 0.62% 0.71% 0.62%
CFR B 0.83% 0.77% 0.77%
EWBC A 1.6% 0.78% 0.78%
FTXO Overweight 47 Positions Relative to FQAL
Symbol Grade Weight
WFC A 8.67%
BAC A 7.85%
C A 7.58%
JPM A 7.5%
USB A 7.42%
MTB A 4.32%
PNC B 3.91%
CFG B 3.77%
HBAN A 3.72%
FCNCA A 3.69%
FITB B 3.54%
RF A 3.32%
KEY B 2.55%
WBS A 1.98%
FHN A 1.93%
PB B 1.48%
PNFP B 1.35%
WAL B 1.22%
COLB B 1.16%
ZION B 1.15%
SSB B 1.14%
WTFC A 1.13%
ONB C 1.1%
BOKF B 1.05%
SNV C 1.04%
OZK B 0.99%
UBSI B 0.97%
BPOP C 0.9%
HWC B 0.79%
HOMB A 0.78%
ABCB B 0.73%
UMBF B 0.69%
CATY B 0.6%
SFBS C 0.52%
IBOC B 0.52%
FULT A 0.52%
BANF B 0.51%
BKU A 0.51%
AX B 0.51%
CBU B 0.5%
FFIN B 0.5%
FFBC B 0.49%
WSFS B 0.49%
PRK B 0.49%
TBBK B 0.46%
WAFD B 0.45%
FBP C 0.43%
FTXO Underweight 121 Positions Relative to FQAL
Symbol Grade Weight
NVDA B -7.24%
AAPL C -6.62%
MSFT D -6.3%
GOOGL C -3.69%
META D -2.51%
AVGO D -2.0%
LLY F -1.72%
V A -1.61%
HD B -1.5%
MA B -1.48%
JNJ C -1.35%
BKNG A -1.21%
XOM B -1.16%
ABBV F -1.14%
MCD D -1.11%
BX A -1.05%
ACN B -1.05%
BMY B -1.02%
LOW C -1.02%
COST A -1.01%
PGR A -1.0%
GILD C -1.0%
PG C -0.98%
ADBE C -0.97%
NFLX A -0.97%
FICO B -0.96%
PANW B -0.96%
AMP A -0.92%
SPGI C -0.92%
QCOM F -0.91%
VRTX D -0.86%
GRMN B -0.86%
CME B -0.85%
ORLY B -0.84%
VEEV C -0.84%
CPAY A -0.82%
ZTS D -0.81%
CAT B -0.77%
AMAT F -0.77%
MCO B -0.76%
MSCI C -0.75%
AZO C -0.75%
ABNB C -0.75%
JXN C -0.74%
YUM D -0.72%
ACGL C -0.71%
DPZ C -0.69%
CVX A -0.68%
LRCX F -0.67%
IDXX F -0.67%
KO D -0.66%
KNSL B -0.65%
QLYS B -0.64%
ADP A -0.64%
KLAC F -0.64%
WSM C -0.63%
PM B -0.63%
UNP C -0.61%
MTD F -0.58%
MEDP D -0.57%
T A -0.57%
LMT D -0.56%
VZ C -0.56%
CTAS B -0.55%
GWW B -0.55%
ITW B -0.54%
FAST B -0.53%
AME A -0.52%
LIN C -0.52%
MMM D -0.5%
TDG D -0.49%
CSX C -0.49%
PAYX B -0.49%
CPRT B -0.48%
NEE C -0.47%
VRSK A -0.46%
OTIS C -0.45%
ODFL C -0.45%
MO A -0.44%
VST A -0.43%
COP C -0.41%
TTD B -0.41%
MDLZ F -0.38%
CL D -0.36%
SO C -0.36%
CEG C -0.36%
WMB A -0.34%
EOG A -0.32%
MNST C -0.31%
KMB C -0.31%
TPL A -0.31%
PLD F -0.3%
SHW B -0.3%
LNG A -0.28%
NRG B -0.27%
AMT C -0.27%
WEC A -0.26%
SPG A -0.25%
HSY F -0.25%
FCX F -0.24%
ECL D -0.24%
PSA C -0.23%
O C -0.21%
NFG A -0.2%
AM A -0.19%
EXR C -0.19%
UGI C -0.19%
AVB B -0.19%
MLM C -0.19%
WHD B -0.18%
VICI C -0.18%
NUE C -0.18%
RS B -0.17%
EQR C -0.17%
CF A -0.17%
SBAC D -0.16%
ESS B -0.16%
EXP B -0.16%
RGLD C -0.15%
AVY F -0.15%
GLPI C -0.14%
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