IMCV vs. ITAN ETF Comparison

Comparison of iShares Morningstar Mid-Cap Value ETF (IMCV) to Sparkline Intangible Value ETF (ITAN)
IMCV

iShares Morningstar Mid-Cap Value ETF

IMCV Description

The investment seeks to track the investment results of the Morningstar® US Mid Cap Broad Value IndexSM composed of mid-capitalization U.S. equities that exhibit value characteristics. The fund generally invests at least 90% of its assets in securities of the underlying index and in depositary receipts representing securities of the underlying index. The underlying index measures the performance of stocks issued by mid-capitalization companies that have exhibited “value” characteristics as determined by Morningstar, Inc. (Morningstar or the index providerâ) proprietary index methodology.

Grade (RS Rating)

Last Trade

$80.31

Average Daily Volume

16,134

Number of Holdings *

10

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

Sparkline Intangible Value ETF

ITAN Description The investment seeks long-term capital appreciation. The fund is an actively-managed exchange-traded fund (“ETF”). The fund will invest in U.S.-listed equity securities that Sparkline Capital LP (the “Sub-Adviser”) believes are attractive relative to its proprietary measure of “intangible-augmented intrinsic value.” The fund’s investments may include common stocks and Real Estate Investment Trusts (REITs). Although the fund will not concentrate its investments in a particular industry, the Sub-Adviser anticipates that fund will hold a meaningful amount of stocks in the technology, communications, healthcare, and consumer discretionary sectors.

Grade (RS Rating)

Last Trade

$32.05

Average Daily Volume

1,878

Number of Holdings *

151

* may have additional holdings in another (foreign) market
Performance
Period IMCV ITAN
30 Days 4.76% 5.34%
60 Days 4.55% 7.33%
90 Days 6.72% 9.71%
12 Months 29.13% 31.35%
2 Overlapping Holdings
Symbol Grade Weight in IMCV Weight in ITAN Overlap
COF B 1.15% 1.09% 1.09%
GM B 1.06% 1.0% 1.0%
IMCV Overweight 8 Positions Relative to ITAN
Symbol Grade Weight
WMB A 1.18%
TFC A 1.06%
NSC B 1.04%
BK A 1.03%
OKE A 1.03%
PCAR B 0.99%
AFL B 0.98%
AEP D 0.97%
IMCV Underweight 149 Positions Relative to ITAN
Symbol Grade Weight
AMZN C -4.86%
META D -2.87%
ORCL B -2.31%
CRM B -2.14%
GOOGL C -2.09%
GOOG C -2.09%
CSCO B -1.78%
IBM C -1.69%
ACN C -1.6%
QCOM F -1.55%
T A -1.55%
WFC A -1.51%
TMUS B -1.42%
VZ C -1.3%
PFE D -1.28%
INTC D -1.26%
RTX C -1.23%
HON B -1.21%
MDT D -1.18%
DELL C -1.11%
DIS B -1.1%
PYPL B -1.1%
CMCSA B -1.06%
TGT F -1.03%
BMY B -1.03%
BA F -0.96%
GILD C -0.92%
NOC D -0.91%
CVS D -0.9%
MMM D -0.89%
PANW C -0.89%
SQ B -0.87%
FDX B -0.85%
CMI A -0.84%
F C -0.82%
CTSH B -0.8%
LHX C -0.74%
HPQ B -0.72%
CHTR C -0.72%
ALL A -0.72%
DASH A -0.71%
BDX F -0.7%
GD F -0.7%
WDAY B -0.7%
UAL A -0.7%
JCI C -0.69%
EBAY D -0.66%
NXPI D -0.66%
ADSK A -0.64%
HPE B -0.63%
DAL C -0.6%
NTAP C -0.6%
GLW B -0.59%
EXPE B -0.58%
CVNA B -0.56%
LDOS C -0.55%
CNC D -0.54%
ZM B -0.54%
ILMN D -0.54%
WBD C -0.53%
DOCU A -0.53%
EA A -0.53%
CAH B -0.53%
PRU A -0.53%
WDC D -0.53%
HUM C -0.53%
SNAP C -0.51%
KR B -0.51%
ZS C -0.51%
TWLO A -0.49%
NTNX A -0.49%
VTRS A -0.49%
BAH F -0.47%
FFIV B -0.46%
BBY D -0.46%
IQV D -0.46%
ZBRA B -0.46%
J F -0.45%
ROK B -0.45%
LH C -0.45%
OKTA C -0.44%
BAX D -0.44%
DD D -0.44%
DGX A -0.43%
TRMB B -0.43%
BIIB F -0.42%
JNPR F -0.42%
ACM A -0.42%
CIEN B -0.41%
CACI D -0.41%
LMT D -0.39%
PSTG D -0.39%
ROKU D -0.39%
AAL B -0.38%
LUMN C -0.37%
JLL D -0.37%
LYFT C -0.37%
DBX B -0.37%
JBL B -0.37%
DVA B -0.36%
IP B -0.34%
EMN D -0.34%
TRU D -0.34%
TPR B -0.34%
NWSA B -0.33%
JAZZ B -0.32%
SWKS F -0.32%
AKAM D -0.32%
ALLY C -0.32%
TAP C -0.31%
ELAN D -0.3%
ACI C -0.3%
TXT D -0.3%
SWK D -0.29%
ETSY D -0.29%
WBA F -0.29%
ANF C -0.28%
G B -0.28%
PARA C -0.28%
RIVN F -0.27%
BIO D -0.27%
WHR B -0.27%
HAS D -0.26%
MASI A -0.26%
BOX B -0.26%
EXAS D -0.26%
FAF A -0.25%
W F -0.25%
U C -0.25%
PATH C -0.24%
DOX D -0.24%
ALK C -0.24%
GAP C -0.24%
IVZ B -0.24%
MAT D -0.24%
UAA C -0.24%
ARW D -0.23%
FLS B -0.23%
MTCH D -0.23%
BWA D -0.22%
NOV C -0.22%
RHI B -0.22%
HRB D -0.21%
QRVO F -0.2%
AGCO D -0.19%
HOG D -0.19%
M D -0.16%
RUN F -0.14%
XRAY F -0.13%
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