MINV vs. FTXH ETF Comparison

Comparison of Matthews Asia Innovators Active ETF (MINV) to First Trust Nasdaq Pharmaceuticals ETF (FTXH)
MINV

Matthews Asia Innovators Active ETF

MINV Description

The investment seeks long-term capital appreciation. Under normal circumstances, the fund seeks to achieve its investment objective by investing at least 80% of its net assets, which include borrowings for investment purposes, in the common and preferred stocks of companies located in Asia that Matthews believes are innovators in their products, services, processes, business models, management, use of technology, or approach to creating, expanding or servicing their markets.

Grade (RS Rating)

Last Trade

$27.71

Average Daily Volume

3,173

Number of Holdings *

11

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

First Trust Nasdaq Pharmaceuticals ETF

FTXH Description The First Trust Nasdaq Pharmaceuticals ETF is an exchange-traded fund. The investment objective of the Fund is to seek investment results that correspond generally to the price and yield, before the Fund's fees and expenses, of an index called the Nasdaq US Smart Pharmaceuticals Index. The Fund seeks to replicate the holdings and weightings of the Nasdaq US Smart Pharmaceuticals Index so as to generate performance results 95% correlated to that of the Nasdaq US Smart Pharmaceuticals Index.

Grade (RS Rating)

Last Trade

$27.10

Average Daily Volume

3,490

Number of Holdings *

50

* may have additional holdings in another (foreign) market
Performance
Period MINV FTXH
30 Days -3.47% -6.26%
60 Days 4.26% -7.87%
90 Days 1.67% -4.97%
12 Months 21.38% 12.93%
0 Overlapping Holdings
Symbol Grade Weight in MINV Weight in FTXH Overlap
MINV Overweight 11 Positions Relative to FTXH
Symbol Grade Weight
SE B 6.89%
BABA D 3.72%
TCOM B 3.5%
GRAB A 3.3%
MMYT C 3.05%
PDD F 2.41%
IBN C 2.27%
TSM B 1.41%
BEKE C 1.34%
BILI C 1.28%
CPNG C 1.13%
MINV Underweight 50 Positions Relative to FTXH
Symbol Grade Weight
BMY B -8.03%
ABBV F -7.49%
PFE F -6.94%
JNJ D -6.93%
MRK F -6.26%
GILD B -4.54%
VTRS A -4.0%
UTHR B -3.92%
CAH B -3.85%
AMGN D -3.54%
ZTS D -3.48%
JAZZ A -3.2%
BIIB F -3.12%
LLY F -3.04%
CRL D -2.55%
REGN F -2.55%
OGN F -2.47%
ELAN C -1.83%
MEDP D -1.83%
NBIX D -1.35%
HALO D -1.27%
EXEL B -1.11%
ALKS B -1.05%
PRGO C -0.94%
PBH A -0.91%
PTGX D -0.79%
CORT B -0.78%
ACLX C -0.73%
ALNY D -0.66%
INCY B -0.64%
ITCI B -0.63%
TGTX B -0.6%
ADMA C -0.58%
VKTX F -0.55%
RNA C -0.55%
TWST F -0.54%
BPMC D -0.54%
KYMR C -0.53%
ACAD C -0.53%
AMRX C -0.51%
VRTX C -0.51%
ROIV D -0.49%
VCEL A -0.49%
INSM D -0.48%
KRYS D -0.48%
SRPT F -0.45%
EXAS F -0.44%
BMRN F -0.42%
IONS F -0.41%
MYGN F -0.32%
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