GMOV vs. UCC ETF Comparison

Comparison of GMO US Value ETF (GMOV) to ProShares Ultra Consumer Services (UCC)
GMOV

GMO US Value ETF

GMOV Description

GMOV aims for total return by investing in undervalued securities within the US stock market. The fund employs a combination of proprietary quantitative analysis and historical comparisons to evaluate stocks based on key financial indicators, such as asset valuation, cash flow, and future earnings potential. This evaluation process supports informed decisions about position sizes and sector allocations, while also integrating ESG criteria to avoid industries like cluster munitions and thermal coal. GMOV maintains a focus on US companies, ensuring at least 80% of its assets are linked to this market, which allows for potential concentration in specific sectors. To enhance liquidity, the fund can invest in the GMO US Treasury Fund and other money market instruments, enabling adjustments to market conditions.

Grade (RS Rating)

Last Trade

$25.86

Average Daily Volume

31,420

Number of Holdings *

146

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

ProShares Ultra Consumer Services

UCC Description The investment seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the Dow Jones U.S. Consumer ServicesSM Index. The fund invests in securities and derivatives that ProShare Advisors believes, in combination, should have similar daily return characteristics as two times (2x) the daily return of the index. The index measures the performance of consumer spending in the services sector of the U.S. equity market. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$49.31

Average Daily Volume

3,287

Number of Holdings *

50

* may have additional holdings in another (foreign) market
Performance
Period GMOV UCC
30 Days 25.09%
60 Days 18.54%
90 Days 31.98%
12 Months 54.84%
9 Overlapping Holdings
Symbol Grade Weight in GMOV Weight in UCC Overlap
APTV D 0.19% 0.21% 0.19%
BBY D 0.76% 0.27% 0.27%
BWA D 0.65% 0.12% 0.12%
EBAY D 0.93% 0.46% 0.46%
F C 0.89% 0.67% 0.67%
GM B 0.91% 0.96% 0.91%
LKQ D 0.2% 0.15% 0.15%
PHM D 0.25% 0.41% 0.25%
TPR B 0.58% 0.2% 0.2%
GMOV Overweight 137 Positions Relative to UCC
Symbol Grade Weight
JNJ D 3.45%
XOM B 3.13%
JPM A 3.07%
BAC A 3.0%
CVX A 2.76%
GOOGL C 2.65%
CSCO B 2.63%
MRK F 2.48%
META D 2.43%
IBM C 2.25%
GS A 2.16%
PFE D 2.1%
CI F 1.96%
VZ C 1.95%
CMCSA B 1.9%
C A 1.86%
CMI A 1.41%
ELV F 1.36%
HPE B 1.32%
BK A 1.24%
INTC D 1.2%
EOG A 1.18%
LYB F 1.17%
CVS D 1.14%
MDT D 1.13%
COF B 1.11%
REGN F 1.02%
SOLV C 1.0%
MTB A 0.99%
HIG B 0.97%
HPQ B 0.97%
DFS B 0.94%
PYPL B 0.92%
KR B 0.91%
CTSH B 0.9%
STT A 0.89%
PCAR B 0.89%
QCOM F 0.86%
SYF B 0.84%
GIS D 0.83%
KHC F 0.78%
MS A 0.77%
ADM D 0.76%
CNC D 0.76%
TROW B 0.74%
SWKS F 0.68%
HUM C 0.68%
ZM B 0.67%
DG F 0.64%
STLD B 0.64%
USB A 0.62%
UNM A 0.59%
MTG C 0.59%
BG F 0.59%
TGT F 0.58%
ALLY C 0.57%
NUE C 0.56%
VTRS A 0.56%
HRB D 0.55%
ARW D 0.54%
RDN C 0.51%
AVT C 0.5%
TAP C 0.5%
SKX D 0.49%
EG C 0.47%
LEA D 0.46%
CROX D 0.46%
AGCO D 0.45%
CAG D 0.45%
INCY C 0.43%
WHR B 0.43%
WU D 0.42%
PVH C 0.42%
EXEL B 0.36%
SIG B 0.35%
OSK B 0.34%
AMG B 0.32%
AN C 0.32%
ASO F 0.3%
GPI A 0.3%
FHI A 0.3%
PG A 0.3%
UFPI B 0.29%
PPG F 0.28%
UTHR C 0.27%
PII D 0.27%
OVV B 0.27%
KBH D 0.27%
INGR B 0.26%
ACGL D 0.26%
JXN C 0.25%
BEN C 0.23%
ALSN B 0.23%
MLI C 0.21%
JHG A 0.21%
IVZ B 0.21%
ALL A 0.19%
SLM A 0.19%
ALV C 0.18%
OC A 0.18%
OMF A 0.17%
CMC B 0.16%
JAZZ B 0.15%
KMB D 0.14%
FOXA B 0.14%
TOL B 0.12%
MOS F 0.12%
RF A 0.12%
MAN D 0.1%
SNA A 0.1%
FNF B 0.09%
GHC C 0.09%
ATKR C 0.09%
CRI D 0.09%
VLO C 0.08%
SNX C 0.08%
M D 0.08%
RHI B 0.08%
ATGE B 0.07%
WBA F 0.07%
CNH C 0.07%
TSN B 0.07%
WFC A 0.07%
AXP A 0.06%
LZB B 0.06%
SEE C 0.06%
KSS F 0.06%
MATX C 0.06%
FHN A 0.06%
PINC B 0.06%
BC C 0.06%
TEX D 0.05%
CNXC F 0.05%
NEU C 0.05%
BCC B 0.05%
FL F 0.02%
WGO C 0.01%
GMOV Underweight 41 Positions Relative to UCC
Symbol Grade Weight
AMZN C -13.14%
TSLA B -10.47%
HD A -4.53%
BKNG A -2.55%
LOW D -2.36%
MCD D -2.33%
TJX A -2.06%
SBUX A -1.73%
NKE D -1.37%
CMG B -1.23%
ORLY B -1.07%
MAR B -1.0%
HLT A -0.93%
ABNB C -0.89%
RCL A -0.84%
AZO C -0.83%
ROST C -0.72%
DHI D -0.72%
LEN D -0.62%
YUM B -0.57%
LULU C -0.54%
GRMN B -0.49%
NVR D -0.47%
TSCO D -0.45%
DECK A -0.41%
CCL B -0.38%
EXPE B -0.34%
DRI B -0.3%
ULTA F -0.26%
GPC D -0.26%
LVS C -0.26%
DPZ C -0.24%
POOL C -0.21%
KMX B -0.18%
NCLH B -0.17%
RL B -0.13%
WYNN D -0.13%
MGM D -0.13%
CZR F -0.12%
HAS D -0.12%
MHK D -0.11%
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