INFL vs. JSMD ETF Comparison

Comparison of Horizon Kinetics Inflation Beneficiaries ETF (INFL) to Janus Small/Mid Cap Growth Alpha ETF (JSMD)
INFL

Horizon Kinetics Inflation Beneficiaries ETF

INFL Description

The investment seeks long-term growth of capital in real (inflation-adjusted) terms. The fund is an actively-managed ETF that seeks to achieve its investment objective by investing primarily in the equity securities of domestic and foreign companies that are expected to benefit, either directly or indirectly, from rising prices (inflation). The fund's investments in equity securities are generally expected to include common stock, ownership units of publicly traded MLPs, and units of royalty trusts. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$31.70

Average Daily Volume

165,137

Number of Holdings *

17

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

Janus Small/Mid Cap Growth Alpha ETF

JSMD Description Janus Small/Mid Cap Growth Alpha ETF seeks investment results that correspond generally, before fees and expenses, to the performance of the Janus Small/Mid Cap Growth Alpha Index.

Grade (RS Rating)

Last Trade

$66.01

Average Daily Volume

21,833

Number of Holdings *

244

* may have additional holdings in another (foreign) market
Performance
Period INFL JSMD
30 Days -2.67% -4.94%
60 Days 2.09% -3.64%
90 Days 4.14% 1.42%
12 Months 4.51% 19.61%
1 Overlapping Holdings
Symbol Grade Weight in INFL Weight in JSMD Overlap
CRL C 2.68% 2.88% 2.68%
INFL Overweight 16 Positions Relative to JSMD
Symbol Grade Weight
TPL B 6.01%
ICE C 4.5%
MMC C 3.77%
ADM D 3.48%
CACI A 3.26%
BG B 3.26%
LNG D 2.86%
WFG D 2.28%
JOE A 1.68%
CME C 1.65%
PBT F 1.2%
MSB F 0.86%
RPRX D 0.85%
DMLP B 0.82%
SBR D 0.65%
SJT F 0.51%
INFL Underweight 243 Positions Relative to JSMD
Symbol Grade Weight
NBIX A -3.27%
BSY B -3.23%
MEDP B -3.1%
SWAV A -3.04%
BRKR D -2.83%
HEI A -2.34%
ROL B -1.93%
ENSG C -1.67%
QLYS D -1.6%
SPSC B -1.59%
DBX F -1.56%
FN D -1.55%
EXP C -1.54%
EME A -1.49%
GPK D -1.47%
BMI A -1.38%
OC A -1.37%
SAIA F -1.36%
DV F -1.32%
OPCH D -1.31%
ALGM D -1.3%
HALO C -1.22%
WMS D -1.17%
CMC D -1.12%
FIX D -1.03%
CRVL C -1.02%
CASY A -1.01%
CNM A -1.0%
TTEK A -0.95%
IBKR A -0.9%
BJ A -0.87%
SANM C -0.86%
PCTY F -0.84%
AGCO D -0.82%
ACLS D -0.8%
KNSL F -0.79%
EWBC A -0.78%
PGNY F -0.77%
DOCN C -0.75%
AMR D -0.74%
DOCS F -0.74%
FCN A -0.71%
SITE F -0.69%
AAON A -0.68%
WSC F -0.67%
PLXS A -0.67%
SSD D -0.67%
AIT D -0.67%
NYT C -0.66%
UFPI D -0.66%
BRBR C -0.64%
TNET F -0.62%
ATKR B -0.62%
MLI A -0.61%
DAR F -0.6%
COKE C -0.6%
STAA B -0.58%
MKTX F -0.57%
ZI D -0.56%
PLUS D -0.55%
WAL C -0.49%
AMPH D -0.49%
RLI B -0.49%
WSM A -0.48%
EXLS D -0.46%
PLAB D -0.43%
YOU F -0.43%
CPRX C -0.43%
WIRE A -0.42%
HRMY D -0.41%
PRFT D -0.4%
NSSC B -0.4%
UFPT B -0.4%
ACMR D -0.39%
ADUS B -0.38%
CBZ D -0.37%
MTDR D -0.37%
SLM A -0.36%
GMS C -0.35%
CSWI A -0.35%
CNXC F -0.35%
CIVI D -0.35%
TOL B -0.33%
BLD C -0.33%
KAI D -0.32%
DKS B -0.32%
HLNE A -0.32%
USLM A -0.31%
FND D -0.31%
OTTR A -0.3%
UMBF B -0.3%
HWKN A -0.29%
STRL D -0.29%
NFE F -0.28%
WING A -0.28%
PAG D -0.27%
MYRG C -0.26%
REXR F -0.26%
VCTR A -0.25%
TGLS B -0.25%
SFBS D -0.25%
IESC A -0.24%
CALM D -0.23%
ALG D -0.23%
DRVN B -0.23%
FIVE F -0.22%
AWR C -0.22%
AX A -0.22%
SOUN D -0.22%
ETSY C -0.21%
CROX D -0.2%
LAD F -0.19%
STAG D -0.18%
IBP B -0.18%
NMIH A -0.18%
PJT D -0.17%
ARRY F -0.17%
AN A -0.17%
TMHC C -0.16%
PLMR B -0.15%
MTH A -0.15%
MGPI F -0.15%
CCRN D -0.15%
TRNO D -0.14%
TBBK F -0.14%
SSTK D -0.14%
MBIN B -0.13%
SHLS F -0.13%
ASO F -0.12%
BANR D -0.12%
CUBI D -0.12%
RC B -0.12%
SKY D -0.12%
CEIX F -0.12%
RH F -0.12%
EPRT A -0.12%
ABG D -0.12%
CTOS F -0.12%
NX D -0.11%
EFSC D -0.11%
AESI B -0.11%
CLFD B -0.11%
GOLF D -0.11%
CASH B -0.1%
NBHC D -0.1%
CRAI A -0.1%
GPI A -0.1%
SKWD C -0.1%
PFBC A -0.09%
BOOT B -0.09%
MHO D -0.09%
DCGO F -0.09%
WABC A -0.09%
HPK F -0.09%
ZYXI C -0.09%
IIPR A -0.08%
NSA C -0.08%
CVCO D -0.08%
YETI F -0.08%
NAPA F -0.08%
GRBK C -0.07%
OBK A -0.07%
BY A -0.07%
CCS D -0.07%
QCRH D -0.07%
DCOM B -0.06%
HGTY A -0.06%
PLPC D -0.06%
FBMS F -0.06%
BFC D -0.06%
ACDC F -0.06%
HDSN F -0.05%
CFB C -0.05%
JYNT A -0.05%
SMLR F -0.05%
CRGY F -0.05%
OSBC B -0.05%
APPS F -0.05%
AMPS D -0.05%
KRT C -0.05%
AMAL A -0.05%
IMXI D -0.05%
MCB B -0.04%
ALTG F -0.04%
SKIN F -0.04%
GCBC A -0.04%
IBCP A -0.04%
XPEL B -0.04%
CCB B -0.04%
BFST D -0.04%
GRNT B -0.04%
MNTK F -0.04%
SMBK C -0.03%
SCVL B -0.03%
PLYM D -0.03%
HIBB A -0.03%
BOWL C -0.03%
FSBC F -0.03%
ESQ C -0.03%
SMMF B -0.03%
PX F -0.03%
NBN B -0.03%
ODC B -0.03%
DFH C -0.03%
ASLE F -0.03%
ASC A -0.03%
HTBI B -0.03%
EGY B -0.03%
CCBG D -0.03%
PLBC A -0.02%
OVLY B -0.02%
CHMG A -0.02%
SSBK B -0.02%
NECB A -0.02%
HZO F -0.02%
MBUU F -0.02%
AFCG A -0.02%
ORGN C -0.02%
OBT C -0.02%
PCYO F -0.02%
TCBX A -0.02%
ORRF A -0.02%
UNTY A -0.02%
FIGS D -0.02%
FBIZ B -0.02%
ARHS D -0.02%
REFI A -0.02%
BWB B -0.02%
EP F -0.01%
HGBL F -0.01%
LOVE D -0.01%
MNSB F -0.01%
FRAF B -0.01%
SAMG F -0.01%
OPBK D -0.01%
SACH F -0.01%
LEGH D -0.01%
CALB F -0.01%
RCMT D -0.01%
BWFG F -0.01%
PKBK C -0.01%
GORV F -0.0%
STKS B -0.0%
Compare ETFs