MEDX vs. FSCC ETF Comparison

Comparison of Horizon Kinetics Medical ETF (MEDX) to Trust Federated Hermes MDT Small Cap Core ETF (FSCC)
MEDX

Horizon Kinetics Medical ETF

MEDX Description

The fund is an actively-managed exchange-traded fund ("ETF") that pursues its investment objective by investing, under normal circumstances, at least 80% of its net assets plus any borrowings for investment purposes in common stocks, convertible securities, warrants and other equity securities having the characteristics of common stocks of U.S. and foreign companies engaged in medical research, pharmaceutical and medical technology industries and related technology industries. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$27.37

Average Daily Volume

1,018

Number of Holdings *

32

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

Trust Federated Hermes MDT Small Cap Core ETF

FSCC Description The fund seeks to achieve its objective by investing primarily in the common stock of small-capitalization (small-cap) U.S. companies. It will invest its assets so that at least 80% of its net assets (plus any borrowings for investment purposes) are invested in small companies. The fund manager actively trades its portfolio securities in an attempt to achieve its investment objective.

Grade (RS Rating)

Last Trade

$27.39

Average Daily Volume

1,205

Number of Holdings *

280

* may have additional holdings in another (foreign) market
Performance
Period MEDX FSCC
30 Days -10.09% 5.16%
60 Days -12.50% 5.36%
90 Days -13.78% 7.15%
12 Months -4.11%
2 Overlapping Holdings
Symbol Grade Weight in MEDX Weight in FSCC Overlap
ALKS C 3.91% 0.67% 0.67%
VNDA C 0.79% 0.11% 0.11%
MEDX Overweight 30 Positions Relative to FSCC
Symbol Grade Weight
LLY F 15.83%
ABBV F 7.81%
BMY B 6.23%
AMGN F 5.96%
NVS F 5.95%
AZN F 4.86%
JNJ C 4.65%
ALNY D 4.45%
PFE F 4.04%
MRK D 3.96%
REGN F 3.38%
BIIB F 3.08%
CRSP D 2.97%
IONS F 2.78%
GSK F 2.32%
BCYC F 1.95%
BEAM D 1.51%
NTLA F 1.3%
REPL D 0.98%
GALT C 0.89%
HLN C 0.79%
LTRN F 0.6%
EDIT F 0.53%
GEHC D 0.48%
TSVT F 0.41%
ALLO F 0.28%
VTRS A 0.27%
PACB F 0.13%
BLUE F 0.08%
MURA D 0.05%
MEDX Underweight 278 Positions Relative to FSCC
Symbol Grade Weight
JXN C -2.55%
KNF B -1.84%
PSN D -1.79%
GMS B -1.5%
SKYW C -1.42%
BKU A -1.39%
SKWD A -1.18%
BRBR A -1.18%
FBK C -1.16%
MUSA B -1.14%
CNO B -1.03%
MWA B -1.01%
CNK C -0.98%
FTDR B -0.96%
EXTR C -0.94%
BY B -0.91%
EME A -0.88%
NMRK C -0.87%
YOU D -0.86%
BDN C -0.86%
SM B -0.85%
OMCL C -0.84%
TMHC C -0.84%
YEXT B -0.79%
PRCT B -0.78%
OTTR C -0.78%
ADMA B -0.77%
SFM A -0.77%
REZI A -0.77%
TXRH B -0.76%
TRMK C -0.74%
HALO F -0.73%
INSM C -0.71%
NUS D -0.71%
MAC B -0.7%
TVTX C -0.7%
WWW A -0.68%
AMAL B -0.68%
HRMY D -0.68%
RSI A -0.67%
PI D -0.67%
CEIX A -0.67%
MNKD C -0.66%
RYAM C -0.66%
MBIN F -0.65%
ACLX C -0.63%
BPMC B -0.62%
RLI A -0.59%
BRSP C -0.59%
OUT A -0.57%
LUMN C -0.57%
VRNS D -0.56%
SPNT B -0.56%
HY D -0.56%
RDFN D -0.56%
TBRG B -0.55%
MEI F -0.55%
CXM C -0.55%
RAMP B -0.54%
SXC A -0.53%
WING D -0.53%
VCTR B -0.52%
RMR F -0.51%
POR C -0.51%
CMRE C -0.49%
UIS B -0.48%
CVNA B -0.48%
COLL F -0.48%
BLBD D -0.47%
PRTA F -0.47%
CRDO B -0.46%
OFG B -0.46%
FBIZ B -0.46%
PRIM A -0.45%
HIMS B -0.44%
SWI C -0.44%
GRND A -0.43%
SHLS F -0.43%
TEX F -0.43%
GFF A -0.43%
SLG B -0.42%
BECN B -0.41%
UPBD B -0.41%
CRC A -0.4%
BV C -0.4%
CUBI B -0.39%
TPB B -0.39%
APPF B -0.39%
PLMR A -0.38%
XHR B -0.37%
ARRY F -0.37%
CMC B -0.36%
EIG B -0.36%
ASC F -0.35%
TREE F -0.34%
SKT A -0.34%
LBRT D -0.34%
LIVN F -0.33%
FULT A -0.33%
ESRT C -0.32%
INSW F -0.32%
ZETA D -0.31%
HURN C -0.31%
SMTC B -0.31%
QTWO A -0.31%
INGN C -0.31%
IRBT F -0.3%
TMDX F -0.3%
TTEC F -0.3%
ONTF C -0.29%
BOX B -0.29%
CMPR D -0.29%
UTI B -0.28%
LC A -0.28%
VSCO C -0.27%
ANF F -0.27%
REVG C -0.26%
ALHC C -0.26%
SPNS F -0.26%
CVLT B -0.25%
ANAB F -0.25%
MGY A -0.25%
TENB C -0.25%
HAIN D -0.25%
TCMD B -0.24%
WTS B -0.24%
APAM B -0.23%
NVRI D -0.23%
VERX A -0.23%
VMEO B -0.23%
NVCR C -0.22%
WRBY A -0.22%
ENR B -0.22%
REAX D -0.21%
LMAT A -0.21%
PRG C -0.21%
CDXS B -0.21%
TGI B -0.21%
WEAV C -0.21%
NTCT C -0.21%
SLVM B -0.21%
FIX A -0.21%
NTB B -0.2%
MED D -0.2%
BCC B -0.19%
MBWM B -0.19%
PHIN A -0.19%
BSRR B -0.19%
KNTK A -0.19%
VICR C -0.19%
EPRT B -0.18%
SHYF C -0.18%
HTBI B -0.17%
WFRD D -0.17%
BL B -0.17%
PETS C -0.17%
MTW C -0.16%
MD C -0.16%
COMM D -0.16%
CHGG C -0.16%
ELVN D -0.16%
ALKT B -0.16%
SAGE F -0.16%
MDXG B -0.16%
VITL D -0.16%
CTLP B -0.16%
DNOW B -0.15%
AKBA C -0.15%
NMIH C -0.15%
CWT C -0.15%
LTH C -0.14%
SEMR C -0.14%
APEI B -0.14%
HURC B -0.14%
HCI C -0.14%
FFWM C -0.14%
BKH A -0.14%
EBS C -0.13%
KOP C -0.13%
NATL B -0.13%
PGC B -0.13%
EAT A -0.13%
UMBF B -0.13%
BFH C -0.12%
BLX B -0.12%
XPRO D -0.12%
GDOT D -0.12%
ALRM C -0.12%
JELD F -0.12%
SIGA F -0.12%
INTA B -0.12%
CLFD F -0.12%
TNC D -0.12%
STNG F -0.12%
RBBN C -0.11%
RXT C -0.11%
PFBC B -0.11%
LADR B -0.11%
ITRI C -0.11%
CWK C -0.11%
AMRX C -0.11%
FORM D -0.11%
UNFI A -0.1%
CORT B -0.1%
ROAD B -0.1%
CYH F -0.1%
QLYS B -0.1%
XRX F -0.1%
FNKO D -0.1%
DSP A -0.09%
GKOS B -0.09%
PKOH C -0.09%
KELYA F -0.09%
CBNK B -0.09%
CSWI B -0.09%
CPRX C -0.09%
EYE C -0.09%
OIS B -0.08%
SUPN C -0.08%
KRYS C -0.08%
SPSC D -0.07%
NBR C -0.07%
FATE F -0.07%
MAX F -0.07%
PHAT F -0.07%
TH C -0.07%
TGTX B -0.07%
ALDX D -0.07%
MSBI B -0.07%
WSR A -0.07%
WS C -0.06%
ZNTL F -0.06%
MCY A -0.06%
DGII C -0.06%
CPK A -0.06%
MRC B -0.05%
HTZ C -0.05%
DOLE D -0.05%
KLIC B -0.05%
CRNC C -0.05%
VC F -0.05%
EXLS B -0.05%
PLUG F -0.05%
FMBH B -0.05%
UVE B -0.05%
CMCO C -0.05%
CLAR D -0.05%
BANF B -0.05%
ADNT F -0.05%
WGO C -0.04%
DFIN D -0.04%
LOCO D -0.04%
FORR C -0.04%
POWL C -0.04%
RAPT F -0.04%
DAN D -0.04%
SKIN D -0.04%
VRNT C -0.04%
ENTA F -0.04%
EVER D -0.04%
NRIX C -0.04%
ACA A -0.04%
MNRO D -0.04%
THR B -0.04%
PAHC C -0.04%
EGHT B -0.04%
MESA F -0.03%
AMPY C -0.03%
BCRX D -0.03%
ILPT F -0.03%
TERN F -0.03%
AVA A -0.03%
BBCP D -0.03%
ACLS F -0.03%
NVRO F -0.03%
SAVE F -0.02%
SSP F -0.02%
JRVR F -0.02%
Compare ETFs