IYF vs. QDEF ETF Comparison

Comparison of iShares U.S. Financial ETF (IYF) to FlexShares Quality Dividend Defensive Index Fund (QDEF)
IYF

iShares U.S. Financial ETF

IYF Description

The investment seeks to track the investment results of an index composed of U.S. equities in the financial sector. 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. It seeks to track the investment results of the Dow Jones U.S. Financials Index (the "underlying index"), which measures the performance of the financial sector of the U.S. equity market. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$117.73

Average Daily Volume

282,895

Number of Holdings *

135

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

FlexShares Quality Dividend Defensive Index Fund

QDEF Description The investment seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Northern Trust Quality Dividend Defensive IndexSM. The fund generally will invest under normal circumstances at least 80% of its total assets in the securities of the underlying index. The underlying index is designed to provide exposure to a high-quality, income-oriented portfolio of U.S. equity securities, with an emphasis on long-term capital growth and a targeted overall volatility that is lower than that of the Northern Trust 1250 IndexSM. It may also invest up to 20% of its assets in cash and cash equivalents.

Grade (RS Rating)

Last Trade

$72.79

Average Daily Volume

6,852

Number of Holdings *

123

* may have additional holdings in another (foreign) market
Performance
Period IYF QDEF
30 Days 8.74% 1.58%
60 Days 13.46% 2.63%
90 Days 15.36% 4.66%
12 Months 50.79% 30.49%
15 Overlapping Holdings
Symbol Grade Weight in IYF Weight in QDEF Overlap
AFL B 1.04% 0.6% 0.6%
AIZ A 0.19% 0.58% 0.19%
BAC A 4.69% 0.02% 0.02%
BK A 0.97% 0.67% 0.67%
BPOP B 0.12% 0.48% 0.12%
CFR B 0.14% 0.6% 0.14%
CME A 1.35% 0.71% 0.71%
JPM A 9.82% 0.73% 0.73%
MET A 0.82% 0.53% 0.53%
OMF A 0.11% 0.5% 0.11%
ORI A 0.16% 0.54% 0.16%
STWD C 0.1% 0.32% 0.1%
UNM A 0.21% 0.65% 0.21%
VIRT B 0.05% 0.57% 0.05%
WTW B 0.53% 0.58% 0.53%
IYF Overweight 120 Positions Relative to QDEF
Symbol Grade Weight
BRK.A B 11.69%
WFC A 4.36%
GS A 3.13%
SPGI C 2.63%
MS A 2.6%
BLK C 2.59%
PGR A 2.5%
C A 2.2%
BX A 2.14%
SCHW B 2.01%
CB C 1.95%
MMC B 1.83%
KKR A 1.69%
ICE C 1.48%
APO B 1.43%
PNC B 1.38%
USB A 1.3%
MCO B 1.25%
AON A 1.24%
AJG B 1.07%
TFC A 1.04%
COIN C 1.01%
TRV B 1.0%
AMP A 0.94%
ALL A 0.86%
AIG B 0.82%
PRU A 0.77%
MSCI C 0.76%
DFS B 0.74%
ACGL D 0.61%
MTB A 0.6%
HIG B 0.58%
FITB A 0.54%
NDAQ A 0.54%
RJF A 0.51%
ARES A 0.51%
STT A 0.48%
FCNCA A 0.45%
BR A 0.45%
TROW B 0.44%
BRO B 0.44%
HBAN A 0.43%
RF A 0.41%
CINF A 0.39%
LPLA A 0.39%
MKL A 0.37%
NTRS A 0.36%
HOOD B 0.36%
CFG B 0.35%
CBOE B 0.35%
PFG D 0.33%
IBKR A 0.32%
FDS B 0.31%
KEY B 0.3%
WRB A 0.3%
EG C 0.27%
L A 0.26%
RGA A 0.26%
FNF B 0.25%
TW A 0.25%
SOFI A 0.24%
EWBC A 0.24%
JEF A 0.22%
RNR C 0.22%
SF B 0.2%
EQH B 0.2%
CG A 0.19%
FHN A 0.19%
OWL A 0.19%
WBS A 0.18%
PRI A 0.18%
EVR B 0.18%
ALLY C 0.17%
GL B 0.17%
NLY C 0.17%
AFG A 0.17%
KNSL B 0.17%
PNFP B 0.16%
HLI B 0.16%
MKTX D 0.16%
WAL B 0.16%
WTFC A 0.15%
MORN B 0.15%
VOYA B 0.14%
SNV B 0.14%
CMA A 0.14%
CBSH A 0.14%
ZION B 0.14%
RYAN B 0.13%
SEIC B 0.13%
AXS A 0.12%
AGNC D 0.12%
RLI B 0.12%
PB A 0.12%
MTG C 0.11%
BEN C 0.11%
COLB A 0.11%
FAF A 0.11%
IVZ B 0.11%
TPG A 0.1%
RITM C 0.1%
THG A 0.1%
AMG B 0.1%
JHG A 0.1%
FNB A 0.1%
LAZ B 0.1%
WTM A 0.09%
OZK B 0.09%
SLM A 0.09%
KMPR B 0.08%
AGO B 0.08%
LNC B 0.07%
BHF B 0.06%
FHB A 0.06%
CACC D 0.05%
BOKF B 0.04%
RKT F 0.03%
CNA B 0.02%
UWMC D 0.01%
TFSL A 0.01%
IYF Underweight 108 Positions Relative to QDEF
Symbol Grade Weight
AAPL C -6.07%
NVDA C -6.0%
MSFT F -4.97%
HD A -3.07%
JNJ D -2.93%
PG A -2.83%
META D -2.76%
ABBV D -2.6%
MRK F -2.25%
IBM C -1.7%
QCOM F -1.65%
PM B -1.65%
GOOGL C -1.36%
INTU C -1.29%
TMUS B -1.14%
ADP B -1.13%
GOOG C -1.1%
LMT D -1.05%
GILD C -1.03%
TJX A -0.99%
SBUX A -0.98%
AVGO D -0.88%
MO A -0.86%
CI F -0.83%
AMT D -0.82%
KLAC D -0.79%
T A -0.77%
DUK C -0.77%
ITW B -0.74%
MSI B -0.74%
MCK B -0.71%
MMM D -0.66%
VZ C -0.65%
KO D -0.65%
EME C -0.64%
BWXT B -0.64%
PAYX C -0.63%
UMBF B -0.61%
CSCO B -0.61%
FIS C -0.6%
EA A -0.6%
GEN B -0.59%
PSA D -0.59%
FAST B -0.58%
CSWI A -0.57%
COR B -0.57%
LDOS C -0.57%
VRSK A -0.57%
D C -0.56%
WDFC B -0.55%
PPL B -0.55%
ESS B -0.54%
RMD C -0.54%
K A -0.53%
CSL C -0.53%
OHI C -0.53%
EQR B -0.53%
MAA B -0.53%
PNW B -0.52%
IRDM D -0.52%
CPT B -0.51%
OTIS C -0.51%
KMB D -0.51%
XOM B -0.5%
LSTR D -0.49%
ED D -0.49%
AVY D -0.48%
DOX D -0.48%
RDN C -0.48%
LOW D -0.47%
NSA D -0.47%
OGE B -0.47%
IPG D -0.46%
DELL C -0.46%
BMY B -0.45%
GIS D -0.45%
VRT B -0.45%
HRB D -0.45%
WU D -0.43%
EXPD D -0.42%
SAIC F -0.41%
WSM B -0.41%
DPZ C -0.41%
CUBE D -0.4%
EVRG A -0.4%
EBAY D -0.4%
EXC C -0.39%
CHE D -0.39%
SWKS F -0.39%
V A -0.38%
MSM C -0.37%
BSY D -0.37%
STNG F -0.36%
NEP F -0.32%
WEC A -0.28%
PEG A -0.26%
COST B -0.24%
MA C -0.23%
MAS D -0.23%
NNN D -0.21%
AVB B -0.18%
CAH B -0.17%
SCCO F -0.16%
BAH F -0.12%
DDS B -0.12%
WMT A -0.12%
ROL B -0.12%
ZTS D -0.11%
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