HYLG vs. AIVL ETF Comparison

Comparison of Global X Health Care Covered Call & Growth ETF (HYLG) to WisdomTree U.S. AI Enhanced Value Fund (AIVL)
HYLG

Global X Health Care Covered Call & Growth ETF

HYLG Description

Global X Funds - Global X Health Care Covered Call & Growth ETF is an exchange traded fund launched and managed by Global X Management Company LLC. It invests in public equity markets of the United States. It invests directly, through derivatives and through other funds in stocks of companies operating across health care sectors. It uses derivatives such as options to create its portfolio. The fund invests in growth and value stocks of large-cap companies. The fund seeks to track the performance of the Cboe S&P Health Care Select Sector Half BuyWrite Index, by using representative sampling technique. Global X Funds - Global X Health Care Covered Call & Growth ETF is domiciled in the United States.

Grade (RS Rating)

Last Trade

$24.74

Average Daily Volume

609

Number of Holdings *

61

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

WisdomTree U.S. AI Enhanced Value Fund

AIVL Description WisdomTree U.S. AI Enhanced Value Fund is an exchange traded fund launched by WisdomTree Investments, Inc. It is co-managed by Voya Investment Management Co. LLC, WisdomTree Asset Management, Inc. The fund invests in public equity markets of the United States. It invests in stocks of companies operating across diversified sectors. The fund invests in value stocks of companies across diversified market capitalization. It employs quantitative analysis to create its portfolio. The fund seeks to benchmark the performance of its portfolio against the Dow Jones U.S. Select Dividend Index. It employs proprietary research to create its portfolio. WisdomTree U.S. AI Enhanced Value Fund was formed on June 16, 2006 and is domiciled in the United States.

Grade (RS Rating)

Last Trade

$113.84

Average Daily Volume

1,984

Number of Holdings *

100

* may have additional holdings in another (foreign) market
Performance
Period HYLG AIVL
30 Days -3.23% 3.03%
60 Days -5.40% 3.55%
90 Days -5.13% 5.56%
12 Months 8.44% 28.14%
11 Overlapping Holdings
Symbol Grade Weight in HYLG Weight in AIVL Overlap
A D 0.34% 2.71% 0.34%
ABT B 1.78% 2.89% 1.78%
BAX D 0.15% 0.36% 0.15%
BDX F 0.58% 0.24% 0.24%
CNC D 0.27% 1.34% 0.27%
GEHC F 0.32% 0.3% 0.3%
HOLX D 0.17% 1.41% 0.17%
INCY C 0.13% 0.25% 0.13%
MDT D 1.0% 3.33% 1.0%
TECH D 0.1% 0.24% 0.1%
ZBH C 0.2% 0.54% 0.2%
HYLG Overweight 50 Positions Relative to AIVL
Symbol Grade Weight
LLY F 5.66%
UNH C 4.98%
JNJ D 3.22%
ABBV D 2.65%
MRK F 2.19%
TMO F 1.81%
ISRG A 1.68%
AMGN D 1.4%
DHR F 1.36%
PFE D 1.31%
SYK C 1.14%
BSX B 1.13%
VRTX F 1.11%
BMY B 1.04%
GILD C 1.03%
ELV F 0.85%
CI F 0.83%
REGN F 0.77%
MCK B 0.71%
ZTS D 0.69%
CVS D 0.6%
HCA F 0.58%
COR B 0.36%
EW C 0.35%
RMD C 0.32%
IQV D 0.32%
IDXX F 0.31%
HUM C 0.3%
CAH B 0.27%
DXCM D 0.27%
MTD D 0.23%
BIIB F 0.21%
WST C 0.21%
STE F 0.19%
WAT B 0.19%
LH C 0.18%
PODD C 0.17%
DGX A 0.16%
MOH F 0.16%
VTRS A 0.14%
RVTY F 0.13%
MRNA F 0.13%
ALGN D 0.13%
UHS D 0.11%
CRL C 0.09%
CTLT B 0.09%
TFX F 0.08%
HSIC B 0.08%
SOLV C 0.08%
DVA B 0.06%
HYLG Underweight 89 Positions Relative to AIVL
Symbol Grade Weight
WFC A -4.35%
XOM B -3.99%
CMCSA B -3.3%
MO A -3.25%
NI A -3.04%
OTIS C -3.0%
NDAQ A -2.77%
FTV C -2.76%
HWM A -2.68%
ICE C -2.65%
CME A -2.61%
RTX C -2.58%
ROP B -2.55%
WY D -2.15%
TDY B -2.05%
INTC D -2.0%
TXT D -1.95%
HON B -1.8%
CNP B -1.7%
HPE B -1.68%
KDP D -1.58%
PPG F -1.56%
FDS B -1.38%
KO D -1.37%
PCG A -1.22%
AMCR D -1.13%
CVX A -1.12%
JCI C -0.99%
SBAC D -0.92%
OXY D -0.9%
LKQ D -0.78%
LHX C -0.72%
NSA D -0.69%
QGEN D -0.69%
PM B -0.66%
KEYS A -0.63%
WRB A -0.62%
RBLX C -0.57%
M D -0.56%
XP F -0.52%
ESI A -0.51%
RGA A -0.5%
HUN F -0.48%
KHC F -0.47%
AMKR D -0.43%
CNH C -0.42%
DOW F -0.42%
AM A -0.42%
HXL D -0.39%
LNC B -0.38%
GPC D -0.36%
DCI B -0.36%
WEN D -0.35%
BRK.A B -0.32%
GNTX C -0.29%
GTES A -0.28%
CW B -0.28%
MDU D -0.28%
BEN C -0.27%
HEI B -0.27%
PINC B -0.27%
CSX B -0.26%
HII D -0.26%
DXC B -0.26%
AME A -0.26%
IEX B -0.26%
ORI A -0.26%
RYAN B -0.26%
UPS C -0.25%
MNST C -0.25%
UGI A -0.25%
SBUX A -0.25%
HST C -0.25%
REYN D -0.25%
USB A -0.25%
BWXT B -0.25%
BWA D -0.25%
BSY D -0.24%
COTY F -0.24%
TRIP F -0.24%
DLB B -0.24%
EXC C -0.24%
JKHY D -0.24%
FR C -0.24%
KMB D -0.24%
ASH D -0.23%
CAG D -0.23%
ED D -0.23%
SWKS F -0.23%
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