KBWR vs. LSEQ ETF Comparison

Comparison of PowerShares KBW Regional Banking Portfolio ETF (KBWR) to Harbor Long-Short Equity ETF (LSEQ)
KBWR

PowerShares KBW Regional Banking Portfolio ETF

KBWR Description

The PowerShares KBW Regional Banking Portfolio (Fund) is based on the KBW Regional Banking Index (Index). The Fund will normally invest at least 90% of its total assets in securities that comprise the Underlying Index. The Index is an equal weighted float-adjusted market capitalization index that seeks to reflect the performance of publicly traded companies that do business as regional banks or thrifts listed on US stock markets. The Index is compiled, maintained and calculated by KBW and is composed of approximately 50 companies. The Fund and the Index are rebalanced and reconstituted quarterly.

Grade (RS Rating)

Last Trade

$65.25

Average Daily Volume

5,044

Number of Holdings *

49

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

Harbor Long-Short Equity ETF

LSEQ Description Under normal market circumstances, the fund invests at least 80% of its net assets, plus borrowings for investment purposes, in long and short positions in equity securities. The fund advisor seeks to achieve the fund's investment objective by establishing long and/or short positions in equity securities.

Grade (RS Rating)

Last Trade

$29.16

Average Daily Volume

982

Number of Holdings *

154

* may have additional holdings in another (foreign) market
Performance
Period KBWR LSEQ
30 Days 9.42% 4.55%
60 Days 15.96% 7.13%
90 Days 19.11% 6.94%
12 Months 44.08%
0 Overlapping Holdings
Symbol Grade Weight in KBWR Weight in LSEQ Overlap
KBWR Overweight 49 Positions Relative to LSEQ
Symbol Grade Weight
WBS A 4.09%
PNFP A 3.8%
CBSH A 3.63%
SSB A 3.4%
BPOP C 2.87%
CFR A 2.22%
SNV A 2.2%
COLB A 2.18%
TCBI A 2.17%
GBCI A 2.13%
ASB A 2.12%
UMBF A 2.12%
WTFC A 2.11%
CADE A 2.1%
VLY A 2.09%
CATY A 2.07%
ABCB A 2.03%
FFIN A 2.01%
CBU A 1.99%
OZK A 1.97%
HWC A 1.96%
FHB A 1.95%
BOKF A 1.95%
ONB B 1.95%
PB A 1.94%
EBC A 1.93%
FNB A 1.93%
UBSI A 1.92%
HOMB A 1.91%
AUB A 1.91%
FULT A 1.9%
FIBK A 1.89%
UCB A 1.86%
WSFS A 1.85%
FBP A 1.76%
SFNC B 1.75%
BOH A 1.74%
CVBF A 1.71%
INDB A 1.69%
WAFD A 1.68%
BKU A 1.63%
PFS A 1.56%
FFBC A 1.52%
PPBI A 1.51%
BANC A 1.44%
TRMK A 1.33%
FCF A 1.07%
HOPE A 0.92%
BRKL A 0.61%
KBWR Underweight 154 Positions Relative to LSEQ
Symbol Grade Weight
APP A -3.65%
PLTR A -2.6%
CVNA A -2.31%
AAL B -2.16%
DOCS C -2.08%
CASY B -1.98%
HPE B -1.94%
USFD B -1.89%
CCL A -1.88%
VSCO A -1.87%
WMT A -1.86%
KSS F -1.85%
COST B -1.85%
RGLD C -1.78%
OGN F -1.65%
CPNG C -1.64%
EXEL B -1.57%
BSX B -1.55%
PLTK A -1.54%
AXTA A -1.53%
TMUS A -1.5%
ANET C -1.5%
DECK A -1.46%
BKNG A -1.39%
DOCU A -1.39%
R A -1.38%
PFE F -1.36%
SPOT A -1.28%
LLY F -1.24%
ZBRA B -1.23%
MTCH F -1.22%
PRGO C -1.19%
GDDY A -1.17%
RCL A -1.17%
MUSA A -1.15%
JWN A -1.14%
LIN D -1.14%
THC C -1.14%
MSI A -1.13%
KEX A -1.13%
KMI A -1.07%
PKG B -1.03%
WSM F -1.02%
META C -1.01%
RPM A -1.0%
FTI A -1.0%
NTAP D -0.98%
EHC B -0.96%
PEGA B -0.95%
T A -0.95%
TXRH A -0.92%
MANH D -0.92%
TJX A -0.91%
TRGP A -0.91%
FICO A -0.91%
ECL D -0.9%
NOW B -0.9%
COR B -0.89%
AM A -0.89%
DASH B -0.88%
HLT A -0.86%
UBER C -0.85%
DTM A -0.84%
IT B -0.84%
WMB A -0.83%
OKE A -0.83%
GWRE B -0.83%
COHR B -0.82%
NFLX A -0.81%
FTNT A -0.8%
FFIV B -0.8%
GLW B -0.8%
EXP B -0.8%
TYL B -0.8%
UTHR B -0.77%
DUOL B -0.77%
AMCR C -0.77%
ISRG A -0.77%
HCA D -0.76%
NTNX A -0.76%
ATR B -0.76%
INCY B -0.76%
LPX A -0.76%
ZM B -0.74%
VST A -0.74%
ROST D -0.74%
UAL A -0.74%
CAH B -0.72%
PFGC B -0.72%
GMED A -0.72%
ITCI B -0.72%
LOW A -0.72%
TTD B -0.71%
ILMN C -0.71%
EBAY D -0.7%
RBLX B -0.7%
TKO C -0.7%
SHW B -0.7%
PANW B -0.7%
RMD C -0.68%
JAZZ A -0.68%
SO C -0.68%
DELL C -0.66%
AAPL C -0.66%
BURL C -0.66%
NTRA B -0.66%
HRB D -0.65%
BMY B -0.65%
SYK A -0.64%
NI A -0.64%
NRG B -0.64%
ABBV F -0.63%
AMGN D -0.62%
OMC C -0.62%
SMAR A -0.61%
ALNY D -0.61%
IFF D -0.58%
CEG D -0.56%
SMG D -0.56%
BFAM F -0.55%
IDXX F --1.46%
WDAY B --1.48%
SLB C --1.49%
SNOW C --1.53%
SMCI F --1.53%
CIVI F --1.57%
AAP D --1.57%
CHRD F --1.6%
ALB C --1.61%
CABO B --1.65%
APA F --1.71%
ACHC F --1.74%
DXCM C --1.75%
DLTR F --1.75%
DG F --1.76%
LITE A --1.85%
FANG D --1.9%
MSFT D --1.91%
SNPS C --1.94%
GO C --1.95%
MTN C --1.96%
CAR C --1.99%
AMZN B --2.06%
WFRD F --2.06%
DV C --2.08%
MEDP D --2.11%
WING F --2.14%
FIVN C --2.23%
MCK A --2.23%
U F --2.25%
WBA F --2.34%
TXG F --2.36%
OVV C --2.45%
NFE F --2.54%
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