MDEV vs. QVMM ETF Comparison

Comparison of First Trust Indxx Medical Devices ETF (MDEV) to Invesco S&P MidCap 400 QVM Multi-factor ETF (QVMM)
MDEV

First Trust Indxx Medical Devices ETF

MDEV Description

First Trust Exchange-Traded Fund VI - First Trust Indxx Medical Devices ETF is an exchange traded fund launched and managed by First Trust Advisors L.P. The fund invests in the public equity markets across the globe. It invests in the stocks of companies operating in the medical devices industry that includes companies that focus on developing equipment, instruments, and machines to diagnose, monitor, and treat diseases. The fund invests in growth and value stocks of companies across diversified market capitalizations. It replicates the performance of the Indxx Global Medical Equipment Index, by using full replication technique. First Trust Exchange-Traded Fund VI - First Trust Indxx Medical Devices ETF is domiciled in the United States.

Grade (RS Rating)

Last Trade

$20.23

Average Daily Volume

703

Number of Holdings *

28

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

Invesco S&P MidCap 400 QVM Multi-factor ETF

QVMM Description The investment seeks to track the investment results of the S&P MidCap 400 ® Quality, Value & Momentum Top 90% Multi- Factor Index (the “underlying index”). The fund will invest at least 90% of its total assets in the securities that comprise the index. S&P Dow Jones Indices LLC compiles, maintains and calculates the index, which is designed to track the performance of a subset of securities from the S&P MidCap 400 ® Index that exhibit the investment style criteria of quality, value and momentum. The index is composed of securities with multi-factor scores representing the top 90% of the parent index, as determined by the index provider. It is non-diversified.

Grade (RS Rating)

Last Trade

$26.84

Average Daily Volume

2,269

Number of Holdings *

348

* may have additional holdings in another (foreign) market
Performance
Period MDEV QVMM
30 Days -4.51% -5.08%
60 Days -0.65% -0.24%
90 Days -3.83% -1.45%
12 Months -3.36% 13.73%
2 Overlapping Holdings
Symbol Grade Weight in MDEV Weight in QVMM Overlap
GMED B 2.59% 0.33% 0.33%
PEN F 1.83% 0.31% 0.31%
MDEV Overweight 26 Positions Relative to QVMM
Symbol Grade Weight
RMD B 2.29%
MTD B 2.28%
STE B 2.28%
DHR B 2.26%
BSX A 2.26%
PODD B 2.22%
ISRG A 2.19%
MDT C 2.07%
SYK B 2.06%
BDX D 2.06%
TFX D 2.04%
TMO C 2.03%
EW D 1.96%
BIO F 1.95%
HOLX D 1.95%
ABT D 1.93%
A D 1.91%
WAT D 1.88%
ZBH F 1.84%
MASI C 1.83%
GEHC D 1.8%
DXCM D 1.71%
BAX D 1.67%
WST D 1.67%
ALGN F 1.65%
EXAS F 1.24%
MDEV Underweight 346 Positions Relative to QVMM
Symbol Grade Weight
CSL B -0.83%
WSM B -0.8%
PSTG A -0.75%
EME B -0.73%
RS D -0.71%
WSO B -0.67%
LII A -0.67%
OC B -0.67%
RPM B -0.6%
MANH C -0.58%
EQH B -0.57%
NBIX C -0.56%
RGA B -0.56%
IBKR B -0.56%
THC B -0.56%
GGG D -0.56%
BLD B -0.55%
DKS B -0.55%
FNF D -0.54%
OVV D -0.53%
FND B -0.53%
CASY B -0.53%
UTHR A -0.53%
NVT B -0.53%
TOL C -0.53%
DT F -0.52%
GLPI C -0.52%
XPO D -0.52%
ACM D -0.51%
RNR C -0.51%
USFD C -0.51%
BJ B -0.51%
AMH C -0.5%
GME C -0.5%
SAIA D -0.49%
WMS C -0.48%
TXRH B -0.48%
LECO F -0.47%
PFGC D -0.47%
FIX C -0.46%
ALLY C -0.46%
ITT D -0.45%
TTEK B -0.45%
WWD B -0.45%
CLH A -0.45%
ELF B -0.44%
SCI B -0.44%
CELH F -0.44%
CW C -0.44%
ONTO B -0.44%
CHK D -0.43%
CCK D -0.43%
ATR B -0.41%
WTRG B -0.41%
RRX F -0.41%
JLL B -0.41%
CUBE B -0.41%
EWBC D -0.41%
LAMR C -0.41%
SKX B -0.41%
AR B -0.4%
UNM D -0.4%
TTC B -0.4%
CACI A -0.4%
LNW C -0.39%
MEDP C -0.39%
CROX A -0.39%
REXR D -0.39%
CG D -0.38%
ALV D -0.38%
ERIE D -0.38%
NYT B -0.37%
X F -0.37%
TREX C -0.37%
MUSA B -0.37%
DCI D -0.37%
KBR D -0.36%
RBC B -0.36%
GPK D -0.36%
EHC B -0.36%
ARMK B -0.36%
AFG D -0.36%
CLF F -0.36%
DINO D -0.36%
TPX D -0.36%
RRC C -0.36%
OHI A -0.35%
FHN D -0.35%
KNSL F -0.35%
LSCC F -0.35%
CHE D -0.35%
SF D -0.35%
OLED B -0.35%
WFRD D -0.34%
BWXT D -0.34%
SFM B -0.34%
EXP D -0.34%
VOYA C -0.34%
GNTX D -0.34%
ORI C -0.34%
KNX F -0.34%
RGLD D -0.34%
SWN D -0.34%
AXTA B -0.34%
FLR A -0.33%
NNN B -0.33%
INGR D -0.33%
RGEN F -0.33%
CNM C -0.33%
FCN D -0.33%
PRI C -0.33%
AA C -0.32%
HQY B -0.32%
SNX A -0.32%
HRB B -0.32%
PVH C -0.32%
WCC C -0.32%
BRBR C -0.32%
AYI D -0.32%
EGP C -0.32%
JEF C -0.32%
WEX F -0.32%
UFPI D -0.31%
OSK D -0.31%
LAD F -0.31%
CHRD D -0.3%
OGE B -0.3%
ARW B -0.3%
WBS F -0.3%
KEX B -0.3%
LEA F -0.3%
BERY C -0.3%
HLI C -0.3%
MIDD F -0.29%
NOV D -0.29%
CR C -0.29%
LSTR D -0.29%
EXEL D -0.29%
SSD D -0.29%
BRX B -0.29%
JAZZ C -0.29%
PR D -0.28%
CMC D -0.28%
MTDR D -0.28%
CRUS A -0.28%
ACHC F -0.28%
SEIC D -0.28%
EVR B -0.28%
DTM B -0.28%
CIEN F -0.28%
FR D -0.27%
FLS D -0.27%
THO F -0.27%
LFUS B -0.27%
CFR D -0.27%
KD B -0.27%
GXO F -0.27%
H C -0.27%
STAG D -0.27%
CBSH D -0.27%
AGCO F -0.27%
FIVE F -0.27%
MSA C -0.27%
MAT F -0.27%
ST C -0.26%
WH C -0.26%
OLN D -0.26%
ADC B -0.26%
CHX F -0.26%
VNT D -0.26%
ESNT C -0.26%
SAIC D -0.26%
TMHC D -0.26%
PCTY F -0.26%
FYBR B -0.25%
STWD D -0.25%
FAF D -0.25%
BRKR F -0.25%
PNFP D -0.25%
NOVT C -0.25%
MTG C -0.25%
CIVI D -0.25%
LPX B -0.25%
ETRN B -0.25%
SON C -0.25%
LNTH B -0.25%
MUR D -0.25%
DAR F -0.25%
HXL D -0.24%
PB D -0.24%
AIRC A -0.24%
GPS B -0.24%
G D -0.24%
DBX F -0.24%
OLLI B -0.24%
MTZ B -0.24%
SRCL B -0.24%
RLI D -0.24%
RMBS D -0.24%
WTFC D -0.24%
SIGI F -0.24%
SSB D -0.24%
VVV C -0.24%
BC F -0.23%
ESAB D -0.23%
R D -0.23%
POST D -0.23%
TKR D -0.23%
CBT C -0.23%
VMI B -0.23%
ASH C -0.22%
PBF F -0.22%
CADE D -0.22%
QLYS D -0.22%
MMS B -0.22%
OPCH D -0.22%
WTS D -0.22%
KBH B -0.22%
AMG D -0.22%
MTSI B -0.22%
NXST D -0.22%
SNV D -0.22%
AVT B -0.21%
EXPO B -0.21%
WLK D -0.21%
AM B -0.21%
CVLT B -0.21%
EEFT C -0.21%
MDU C -0.21%
NFG C -0.21%
COKE B -0.21%
KRG B -0.21%
BCO B -0.2%
GATX C -0.2%
WU D -0.2%
THG D -0.2%
FNB D -0.2%
IDA D -0.2%
EXLS D -0.2%
ONB D -0.2%
DLB F -0.2%
SLM D -0.2%
ENS B -0.19%
POR D -0.19%
M D -0.19%
FLO D -0.19%
ASGN D -0.19%
AN B -0.19%
YETI C -0.18%
HOG F -0.18%
AVNT C -0.18%
NJR C -0.18%
OZK F -0.18%
JHG B -0.18%
HAE D -0.18%
POWI C -0.18%
SWX D -0.18%
PII F -0.18%
VAL C -0.18%
HOMB D -0.18%
UBSI D -0.18%
LOPE C -0.18%
TEX D -0.17%
LANC C -0.17%
HWC D -0.17%
BYD D -0.17%
VNO C -0.17%
CPRI F -0.17%
CNX B -0.17%
MSM F -0.17%
SLAB F -0.16%
ALE B -0.16%
KRC F -0.16%
COLB F -0.16%
SYNA C -0.16%
IRT A -0.16%
BKH D -0.16%
KNF C -0.16%
GBCI D -0.16%
COTY F -0.16%
NEU D -0.16%
ZI F -0.16%
SLGN D -0.16%
BDC B -0.16%
DOCS B -0.15%
PRGO F -0.15%
NSP F -0.15%
UMBF D -0.15%
GT F -0.15%
KMPR D -0.15%
MAN D -0.15%
FFIN D -0.15%
SR D -0.14%
AZTA C -0.14%
BLKB D -0.14%
PCH F -0.14%
NYCB F -0.14%
SBRA B -0.14%
OGS F -0.14%
CUZ C -0.14%
COLM C -0.13%
AMKR B -0.13%
EPR D -0.13%
LIVN D -0.13%
TDC D -0.13%
PK D -0.13%
NWE C -0.13%
CNXC D -0.13%
CNO C -0.13%
TNL C -0.13%
ASB D -0.13%
NVST F -0.13%
VSH D -0.12%
FHI D -0.12%
WEN F -0.12%
TGNA F -0.12%
UAA D -0.12%
BHF F -0.12%
HGV D -0.12%
IBOC D -0.12%
CACC F -0.12%
VLY F -0.12%
SAM C -0.12%
VC F -0.12%
VAC F -0.12%
PAG D -0.12%
ADNT F -0.11%
GHC D -0.11%
PGNY F -0.11%
WERN D -0.11%
HELE D -0.11%
TCBI D -0.11%
PENN C -0.11%
ZD C -0.11%
CRI F -0.1%
JWN B -0.1%
IPGP F -0.1%
CAR F -0.09%
GO F -0.09%
ALGM D -0.09%
IART D -0.09%
ENOV F -0.09%
GEF F -0.07%
LEG F -0.07%
PPC C -0.06%
HTZ F -0.02%
Compare ETFs