HIPS vs. VRAI ETF Comparison

Comparison of Master Income ETF (HIPS) to Virtus Real Asset Income ETF (VRAI)
HIPS

Master Income ETF

HIPS Description

The Master Income ETF seeks to track the total return performance, before fees and expenses, of the TFMS HIPS 300 Index. The Index is constructed to capture 300 high income securities, typically with pass-through structures, across the following sectors: (i) closed-end funds (“CEFs”), (ii) mortgage real estate investment trusts (“REITs”), (iii) commercial equity REITs, (iv) residential/diversified REITs, (v) asset management and business development companies (“BDCs”), and (vi) energy production and energy transportation & processing companies. Energy-related companies included in the Index are expected to primarily be structured as master limited partnerships (“MLPs”). CEFs included in the Index are limited to taxable, debt-based funds and may include CEFs that invest primarily in bank loans, high-yield securities (also known as “junk bonds”), foreign securities (including those in emerging markets), and mortgage- or asset-backed securities. The Index is constituted using proprietary methodology developed by Trust and Fiduciary Management Services, Inc. The Index Provider determines the relative weightings of the securities in the Index and publishes information regarding the market value of the Index.

Grade (RS Rating)

Last Trade

$13.10

Average Daily Volume

31,472

Number of Holdings *

37

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

Virtus Real Asset Income ETF

VRAI Description The investment seeks investment results that correspond the price and yield performance of the Indxx Real Asset Income Index (the "underlying index"). Under normal market conditions, the fund will invest not less than 80% of its assets in component securities of the underlying index. The underlying index is designed to track the performance of U.S.-listed "Real Asset" companies, as defined by Indxx, LLC, the index provider of the underlying index. The underlying index includes common stock, real estate investment trusts, master limited partnerships, American depositary receipts and global depositary receipts. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$24.64

Average Daily Volume

1,077

Number of Holdings *

78

* may have additional holdings in another (foreign) market
Performance
Period HIPS VRAI
30 Days 2.93% 1.14%
60 Days 1.80% 1.21%
90 Days 2.88% 1.40%
12 Months 19.87% 15.57%
6 Overlapping Holdings
Symbol Grade Weight in HIPS Weight in VRAI Overlap
BSM B 2.44% 1.14% 1.14%
DMLP A 2.6% 1.21% 1.21%
EPR C 2.28% 1.06% 1.06%
KRP B 2.53% 1.16% 1.16%
PAA B 2.48% 1.08% 1.08%
WES C 2.48% 1.06% 1.06%
HIPS Overweight 31 Positions Relative to VRAI
Symbol Grade Weight
BGX A 2.79%
LTC B 2.79%
JQC A 2.78%
JFR A 2.75%
ARCC A 2.72%
ET A 2.68%
SLRC A 2.66%
FSK A 2.65%
EFT A 2.64%
EPD A 2.64%
FCT A 2.63%
FDUS A 2.62%
BXSL A 2.62%
BLW C 2.6%
MPLX A 2.6%
GTY A 2.59%
CQP B 2.56%
GBDC D 2.55%
NBB D 2.54%
DSU A 2.52%
ALX D 2.49%
SBRA C 2.48%
GLPI C 2.48%
OHI C 2.46%
USAC B 2.44%
PK C 2.41%
NMFC D 2.26%
GSBD F 2.2%
NNN C 2.18%
NHS D 2.02%
GNL F 1.83%
HIPS Underweight 72 Positions Relative to VRAI
Symbol Grade Weight
TS B -1.4%
FDP B -1.33%
SKT A -1.28%
SPOK B -1.27%
ROIC A -1.25%
NRP B -1.25%
CCOI B -1.24%
GPRK C -1.23%
CTRA B -1.21%
EOG A -1.2%
KIM A -1.2%
PNM B -1.2%
NI A -1.19%
ARLP A -1.19%
IVT A -1.18%
GGB C -1.18%
SBR B -1.17%
WEC A -1.17%
APLE B -1.17%
OVV B -1.17%
RHP B -1.17%
BRX A -1.17%
ADC A -1.16%
OGS A -1.16%
REG A -1.16%
ENIC B -1.15%
AAT B -1.15%
PTEN C -1.14%
LNT A -1.14%
OUT A -1.14%
COP C -1.14%
FANG C -1.13%
SBSW D -1.13%
SCCO F -1.13%
KT A -1.13%
NJR A -1.13%
NFE D -1.12%
HESM B -1.11%
AVA A -1.11%
MAA B -1.11%
EPRT B -1.1%
CMS C -1.1%
VALE F -1.09%
HST C -1.09%
CPT B -1.09%
CIG C -1.08%
FR D -1.08%
PBR D -1.08%
PAGP A -1.07%
EGP D -1.06%
SID F -1.06%
DVN F -1.06%
GFI D -1.05%
INVH D -1.05%
BNL D -1.04%
EQNR C -1.03%
AEP C -1.03%
PSA C -1.03%
EXR C -1.02%
CWEN C -1.02%
ES C -1.02%
TRNO F -1.01%
CUBE C -1.0%
CCI C -1.0%
APA D -0.99%
NSA C -0.99%
EC D -0.93%
AMT C -0.93%
REXR F -0.92%
BRY F -0.91%
IIPR D -0.86%
NEP F -0.67%
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