GCAD vs. JPSV ETF Comparison

Comparison of Gabelli Equity Income ETF (GCAD) to JPMorgan Active Small Cap Value ETF (JPSV)
GCAD

Gabelli Equity Income ETF

GCAD Description

The fund will seek to achieve its investment objective by investing, under normal market conditions, at least 80% of its net assets in securities in income producing equity securities including securities in the aerospace and defense sectors. Aerospace companies include manufacturers, assemblers and distributors of aircraft and aircraft parts. Defense companies include producers of components and equipment for the defense industry, such as military aircraft, radar equipment and weapons.

Grade (RS Rating)

Last Trade

$33.37

Average Daily Volume

677

Number of Holdings *

31

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

JPMorgan Active Small Cap Value ETF

JPSV Description Under normal circumstances, the fund invests at least 80% of its assets in equity securities of small cap companies. Small cap companies are companies with market capitalizations equal to those within the universe of the Russell 2000® Value Index stocks at the time of purchase.

Grade (RS Rating)

Last Trade

$58.17

Average Daily Volume

1,176

Number of Holdings *

114

* may have additional holdings in another (foreign) market
Performance
Period GCAD JPSV
30 Days -2.84% -1.19%
60 Days -2.80% -2.66%
90 Days 3.12% 0.86%
12 Months 30.96% 21.62%
2 Overlapping Holdings
Symbol Grade Weight in GCAD Weight in JPSV Overlap
CDRE D 1.57% 0.59% 0.59%
MOG.A C 5.73% 0.89% 0.89%
GCAD Overweight 29 Positions Relative to JPSV
Symbol Grade Weight
BA F 8.08%
SPR C 6.93%
HXL F 6.04%
DCO D 5.35%
HON B 4.74%
LMT D 4.32%
CW B 3.96%
WWD D 3.94%
RTX C 3.72%
HEI D 3.72%
CR B 3.68%
HWM B 3.42%
TXT F 3.38%
LHX A 3.24%
NOC D 3.23%
MRCY D 3.0%
GE D 2.94%
LDOS A 2.92%
AIN F 2.5%
B A 2.3%
TGI C 2.08%
GD C 1.88%
RDW B 1.39%
KTOS C 1.04%
PKE C 0.96%
AIR F 0.86%
ATRO F 0.82%
LLAP F 0.26%
MYNA C 0.18%
GCAD Underweight 112 Positions Relative to JPSV
Symbol Grade Weight
EHC A -1.86%
SIGI C -1.74%
IBCP D -1.69%
SSB B -1.46%
RDN F -1.34%
SAFT D -1.34%
ADC C -1.33%
FUL F -1.32%
GPI C -1.27%
ONB A -1.27%
WSFS D -1.21%
BUSE D -1.2%
KRG D -1.17%
HLNE A -1.17%
ENSG A -1.16%
MTDR D -1.14%
CHRD F -1.13%
CHX F -1.1%
MGY C -1.09%
PFSI D -1.07%
CPK C -1.06%
DFIN F -1.05%
HAYW A -1.05%
CSWI B -1.03%
MHO D -1.03%
POR C -1.02%
KTB A -1.02%
MLI A -1.02%
CTRE A -1.01%
MRTN F -0.99%
FRME C -0.98%
AIT A -0.98%
IOSP F -0.97%
OGS C -0.97%
AZZ D -0.96%
UFPI C -0.96%
IAC F -0.96%
KAI A -0.95%
PFC A -0.93%
SHOO D -0.92%
PRMW B -0.92%
TCBK C -0.91%
UTL D -0.91%
PFS B -0.91%
WTS D -0.91%
BECN B -0.91%
SYNA F -0.89%
MGRC A -0.89%
PDCO F -0.89%
CAC A -0.89%
VSH F -0.89%
VRTS B -0.88%
EPC D -0.86%
HIW C -0.85%
HTBK D -0.85%
AWR C -0.85%
QCRH B -0.83%
FCF D -0.81%
COLB A -0.79%
ALG C -0.78%
KN C -0.77%
PLXS A -0.76%
SCL F -0.76%
CHCO A -0.75%
IPAR D -0.75%
BANF B -0.75%
TRNO F -0.74%
TTMI A -0.73%
IRDM B -0.71%
CNX B -0.7%
WHD B -0.7%
CSR D -0.69%
GHC A -0.69%
ASGN F -0.68%
INDB B -0.66%
PATK F -0.65%
NPO F -0.64%
PBH A -0.62%
SFNC A -0.61%
CRI F -0.61%
PLYM F -0.61%
AMH F -0.61%
VRRM F -0.6%
IRT D -0.6%
MTH D -0.6%
WFRD F -0.59%
PTVE D -0.59%
LZB D -0.58%
TTC F -0.56%
CDP B -0.55%
FLO F -0.54%
DIOD F -0.53%
DOLE C -0.52%
SCSC F -0.51%
NSIT F -0.5%
UTMD F -0.49%
HWKN D -0.48%
EQT C -0.48%
URBN F -0.46%
ANET B -0.45%
SHO D -0.44%
KWR D -0.43%
EVRI A -0.42%
INMD C -0.42%
RYN C -0.4%
SWX C -0.39%
RLJ F -0.37%
FTRE F -0.33%
BLMN F -0.31%
MOV F -0.29%
FIX B -0.21%
JACK C -0.2%
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