KNGZ vs. PPTY ETF Comparison

Comparison of First Trust S&P 500 Diversified Dividend Aristocrats ETF (KNGZ) to PPTY U.S. Diversified Real Estate ETF (PPTY)
KNGZ

First Trust S&P 500 Diversified Dividend Aristocrats ETF

KNGZ Description

The fund will normally invest at least 90% of its net assets (plus any borrowings for investment purposes) in the securities that comprise the index. According to the index provider to the new index, the new index measures the performance of companies within the S&P 500 Index that have demonstrated stable or increasing dividend per share amounts.

Grade (RS Rating)

Last Trade

$34.72

Average Daily Volume

7,335

Number of Holdings *

95

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

PPTY U.S. Diversified Real Estate ETF

PPTY Description The investment seeks to track the performance, before fees and expenses, of the PPTYX - U.S. Diversified Real Estate Index¿ (the "index"). Under normal circumstances, at least 80% of the fund's total assets (exclusive of any collateral held from securities lending) will be invested in the component securities of the index. The index was developed in 2017 by the fund's index provider and an affiliate of the fund's sub-adviser, and uses a rules-based methodology to provide diversified exposure to the liquid U.S. real estate market.

Grade (RS Rating)

Last Trade

$34.08

Average Daily Volume

47,858

Number of Holdings *

92

* may have additional holdings in another (foreign) market
Performance
Period KNGZ PPTY
30 Days 1.79% 0.24%
60 Days 2.01% 0.01%
90 Days 4.31% 3.80%
12 Months 25.92% 30.04%
6 Overlapping Holdings
Symbol Grade Weight in KNGZ Weight in PPTY Overlap
AVB B 0.32% 4.12% 0.32%
DLR B 0.36% 3.91% 0.36%
ESS B 0.35% 2.03% 0.35%
FRT B 0.41% 1.5% 0.41%
MAA B 0.4% 1.9% 0.4%
O D 0.48% 0.51% 0.48%
KNGZ Overweight 89 Positions Relative to PPTY
Symbol Grade Weight
HPQ B 3.92%
IBM C 3.78%
HPE B 3.5%
VZ C 3.38%
GLW B 3.11%
TXN C 3.1%
MCHP D 2.44%
QCOM F 2.27%
IPG D 2.25%
BEN C 2.13%
ACN C 2.04%
BMY B 1.88%
ADI D 1.83%
CMCSA B 1.71%
HAS D 1.62%
CVS D 1.58%
TROW B 1.55%
OMC C 1.52%
BBY D 1.5%
PRU A 1.4%
GPC D 1.39%
APH A 1.31%
NTRS A 1.14%
UPS C 1.1%
MTB A 1.09%
MDT D 1.07%
JNJ D 1.07%
ABBV D 1.05%
PFG D 1.02%
HD A 1.01%
MCD D 0.99%
GRMN B 0.98%
MRK F 0.94%
MSFT F 0.92%
OKE A 0.92%
PM B 0.89%
KLAC D 0.87%
CINF A 0.86%
MET A 0.86%
CVX A 0.84%
CAG D 0.81%
KVUE A 0.76%
DGX A 0.74%
CAH B 0.74%
LOW D 0.74%
TSN B 0.72%
PAYX C 0.72%
BLK C 0.72%
HRL D 0.71%
NKE D 0.71%
CTRA B 0.71%
ABT B 0.71%
KMB D 0.7%
SNA A 0.69%
EG C 0.66%
CME A 0.66%
CI F 0.62%
SWK D 0.62%
GIS D 0.62%
CMI A 0.61%
XOM B 0.59%
ITW B 0.59%
TRV B 0.59%
AMCR D 0.59%
AFL B 0.58%
FAST B 0.58%
EOG A 0.57%
K A 0.57%
CHRW C 0.56%
UNH C 0.56%
UNP C 0.55%
BDX F 0.55%
POOL C 0.55%
NSC B 0.55%
EMR A 0.55%
ADP B 0.52%
LMT D 0.5%
EVRG A 0.48%
LHX C 0.48%
FMC D 0.47%
LEN D 0.46%
PNW B 0.46%
ES D 0.43%
ETR B 0.42%
EMN D 0.4%
EIX B 0.4%
AEP D 0.37%
CF B 0.36%
APD A 0.35%
KNGZ Underweight 86 Positions Relative to PPTY
Symbol Grade Weight
EQIX A -4.33%
PLD D -3.58%
ARE D -3.47%
FCPT C -3.35%
EQR B -2.93%
SPG B -2.86%
WELL A -2.71%
DEA D -2.56%
HIW D -2.4%
MAR B -2.32%
AMH D -2.31%
UDR B -2.09%
TRNO F -2.05%
HLT A -1.83%
REG B -1.74%
CDP C -1.74%
IRT A -1.71%
STAG F -1.58%
CUZ B -1.54%
CPT B -1.49%
COLD D -1.45%
KIM A -1.44%
AAT B -1.44%
VTR C -1.36%
EGP F -1.31%
SLG B -1.28%
AKR B -1.27%
ESRT C -1.26%
SKT B -1.12%
IIPR D -1.12%
WPC D -1.1%
EQC B -1.0%
FR C -0.98%
SUI D -0.94%
BXP D -0.91%
PSA D -0.86%
INVH D -0.83%
KRG B -0.8%
PECO A -0.8%
ADC B -0.78%
GTY B -0.76%
ELS C -0.75%
DOC D -0.73%
OHI C -0.71%
H B -0.68%
HST C -0.63%
EXR D -0.6%
WH B -0.56%
DEI B -0.56%
RHP B -0.53%
CHH A -0.5%
SBRA C -0.45%
CTRE D -0.43%
APLE B -0.42%
NHI D -0.41%
DBRG F -0.4%
NTST D -0.4%
CSR B -0.37%
IVT B -0.36%
LTC B -0.35%
SHO C -0.34%
NHC C -0.32%
UMH C -0.29%
CUBE D -0.28%
NSA D -0.24%
AHH D -0.24%
ALEX C -0.19%
ROIC A -0.19%
CHCT C -0.18%
VNO B -0.14%
DRH B -0.11%
KRC C -0.11%
UE C -0.11%
BRX A -0.11%
ELME D -0.1%
BFS C -0.1%
BNL D -0.1%
XHR B -0.1%
EPRT B -0.1%
GMRE F -0.09%
NNN D -0.09%
LXP D -0.09%
JBGS D -0.09%
AIV C -0.09%
PLYM F -0.08%
REXR F -0.08%
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