IWFG vs. PAVE ETF Comparison

Comparison of IQ MacKay Municipal Insured ETF (IWFG) to Global X U.S. Infrastructure Development ETF (PAVE)
IWFG

IQ MacKay Municipal Insured ETF

IWFG Description

The Fund seek long-term growth of capital by employing a bottom-up investment process while investing in companies that have the potential for above-average future earnings and cash flow growth. IWFG typically invests in a portfolio of 25-35 stocks, allocating 10-60% across each growth type. The fund invests in stocks of companies operating across diversified sectors. It invests in growth stocks of large-cap companies. IQ MacKay Municipal Insured ETF is domiciled in the United States.

Grade (RS Rating)

Last Trade

$40.96

Average Daily Volume

223

Number of Holdings *

27

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

Global X U.S. Infrastructure Development ETF

PAVE Description The Global X U.S. Infrastructure Development ETF (PAVE) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the INDXX U.S. Infrastructure Development Index.

Grade (RS Rating)

Last Trade

$38.29

Average Daily Volume

1,501,450

Number of Holdings *

96

* may have additional holdings in another (foreign) market
Performance
Period IWFG PAVE
30 Days -1.79% -3.31%
60 Days -0.52% 0.34%
90 Days 6.79% 8.29%
12 Months 41.46% 41.15%
2 Overlapping Holdings
Symbol Grade Weight in IWFG Weight in PAVE Overlap
PH C 3.29% 3.17% 3.17%
TT A 3.29% 3.4% 3.29%
IWFG Overweight 25 Positions Relative to PAVE
Symbol Grade Weight
MSFT C 9.94%
AMZN A 8.05%
NVDA C 8.01%
GOOG A 4.57%
AVGO D 4.18%
META D 4.01%
AAPL C 3.8%
UNH C 3.75%
ISRG C 3.72%
MA D 3.47%
LIN D 3.29%
NFLX D 3.23%
EW D 3.14%
ORLY D 3.12%
ADI A 2.92%
COST C 2.86%
INTU C 2.58%
CMG A 2.46%
NOW D 2.39%
BKNG C 2.36%
KKR D 2.35%
ASML D 2.31%
SNPS D 2.27%
HLT D 2.13%
WDAY D 2.0%
IWFG Underweight 94 Positions Relative to PAVE
Symbol Grade Weight
ETN A -3.51%
MLM D -3.23%
URI D -3.1%
PWR A -3.05%
EMR D -3.04%
VMC C -2.83%
SRE B -2.74%
DE B -2.73%
NUE D -2.69%
FAST D -2.68%
UNP C -2.64%
NSC D -2.61%
CSX D -2.6%
ROK F -2.42%
HWM A -2.26%
FTV F -2.18%
BLDR C -1.86%
STLD D -1.72%
HUBB D -1.64%
WLK B -1.57%
CSL A -1.54%
J B -1.48%
EME A -1.37%
IEX D -1.37%
RS D -1.35%
TRMB D -1.2%
RPM D -1.13%
GGG D -1.11%
PNR C -1.07%
BLD D -1.06%
LECO D -1.03%
ACM A -1.03%
WMS C -1.01%
RRX D -0.87%
TTEK A -0.84%
WWD A -0.82%
EXP B -0.72%
CLF F -0.69%
X F -0.67%
WCC C -0.65%
AYI C -0.62%
ATI B -0.61%
POWL B -0.6%
RBC D -0.59%
MTZ B -0.57%
TPC A -0.54%
MLI B -0.53%
ATKR B -0.53%
CMC C -0.52%
AA A -0.5%
BMI A -0.45%
ZWS D -0.44%
LPX D -0.43%
MDU A -0.43%
DXPE B -0.42%
SUM D -0.4%
CENX B -0.39%
EXPO B -0.39%
CRS A -0.39%
STRL D -0.38%
USLM A -0.38%
DNOW D -0.38%
PRIM A -0.38%
AGX B -0.37%
KNF B -0.36%
DY A -0.35%
VMI B -0.35%
GVA A -0.33%
ROAD D -0.33%
HRI D -0.33%
MYRG F -0.32%
TEX D -0.31%
HAYN C -0.31%
CSWI A -0.31%
MWA A -0.31%
TRN A -0.31%
CMCO C -0.3%
NWPX C -0.3%
MTX A -0.3%
ACA B -0.3%
CACC D -0.29%
MRC D -0.29%
GBX B -0.29%
GRC F -0.28%
IIIN D -0.27%
ASTE F -0.26%
MTRN F -0.26%
HEES F -0.24%
WNC F -0.24%
ROCK D -0.23%
TITN D -0.22%
CTOS F -0.21%
RYI F -0.2%
CALX F -0.17%
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