MVPS vs. RFG ETF Comparison

Comparison of Amplify Thematic All-Stars ETF (MVPS) to Guggenheim S&P Midcap 400 Pure Growth ETF (RFG)
MVPS

Amplify Thematic All-Stars ETF

MVPS Description

The investment seeks investment results that generally correspond (before fees and expenses) to the price and yield of the ETF All-Stars Thematic Composite Index. The index seeks to provide access to the equity securities of a diversified basket of U.S. and non-U.S. companies that are owned by exchange-traded funds included in select thematic market segments. The fund invests in the underlying securities held by the ETFs, which include common stocks and/or depositary receipts. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$24.33

Average Daily Volume

273

Number of Holdings *

87

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

Guggenheim S&P Midcap 400 Pure Growth ETF

RFG Description The investment seeks to replicate as closely as possible, before fees and expenses, the performance of the S&P MidCap 400 Pure Growth Index Total Return. The fund will invest at least 90% of its net assets, plus any borrowings for investment purposes, in the equity securities included in the underlying index. The underlying index is narrow in focus, containing only those S&P MidCap 400 companies with strong growth characteristics as selected by S&P. It may hold up to 10% of its assets in securities not included in the underlying index. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$52.61

Average Daily Volume

17,043

Number of Holdings *

86

* may have additional holdings in another (foreign) market
Performance
Period MVPS RFG
30 Days 10.67% 8.80%
60 Days 11.25% 6.30%
90 Days 12.63% 6.63%
12 Months 32.54% 34.64%
3 Overlapping Holdings
Symbol Grade Weight in MVPS Weight in RFG Overlap
DT C 0.29% 1.29% 0.29%
PSTG D 0.26% 0.79% 0.26%
QLYS C 0.71% 0.75% 0.71%
MVPS Overweight 84 Positions Relative to RFG
Symbol Grade Weight
TSLA B 5.99%
NVDA C 5.0%
GOOGL C 4.45%
CRWD B 4.07%
AMZN C 3.89%
META D 3.71%
MSFT F 3.57%
AVGO D 3.43%
PANW C 3.34%
AMD F 2.49%
COIN C 2.41%
ZS C 2.06%
CSCO B 2.03%
FTNT C 1.9%
SHOP B 1.86%
ORCL B 1.79%
SQ B 1.74%
NET B 1.72%
TSM B 1.58%
QCOM F 1.55%
PLTR B 1.46%
NOW A 1.43%
AAPL C 1.39%
CRM B 1.17%
S B 1.15%
ADBE C 1.14%
FSLR F 1.13%
OKTA C 1.05%
ANET C 1.03%
ISRG A 1.02%
CYBR B 1.02%
IBM C 0.97%
RBLX C 0.92%
HOOD B 0.87%
CHKP D 0.84%
NFLX A 0.75%
DDOG A 0.74%
MU D 0.74%
INTC D 0.72%
AKAM D 0.71%
MDB C 0.66%
ROKU D 0.61%
ENPH F 0.58%
VRNS D 0.57%
XYL D 0.56%
SNPS B 0.51%
ALB C 0.5%
TENB C 0.5%
BABA D 0.5%
TTD B 0.5%
MRVL B 0.49%
TER D 0.48%
APP B 0.46%
ABBV D 0.46%
PATH C 0.43%
HUBS A 0.43%
UBER D 0.42%
FFIV B 0.42%
BAH F 0.41%
PYPL B 0.41%
SNOW C 0.4%
ADSK A 0.4%
CDNS B 0.37%
TOST B 0.36%
DLR B 0.35%
EQIX A 0.34%
ACN C 0.34%
MSTR C 0.34%
GEN B 0.34%
NOC D 0.34%
MARA C 0.33%
MELI D 0.32%
ITRI B 0.32%
RPD C 0.32%
DKNG B 0.31%
AVAV D 0.3%
ECL D 0.3%
VLTO D 0.28%
PTC A 0.28%
ON D 0.27%
MA C 0.26%
U C 0.25%
AWK D 0.24%
NXPI D 0.24%
MVPS Underweight 83 Positions Relative to RFG
Symbol Grade Weight
CNX A -3.65%
DUOL A -3.18%
FIX A -2.75%
AAON B -2.56%
RYAN B -2.28%
TOL B -2.15%
EME C -2.07%
MUSA A -1.84%
APPF B -1.67%
PR B -1.67%
OC A -1.65%
BLD D -1.64%
H B -1.61%
KNSL B -1.6%
CLH B -1.56%
EXP A -1.55%
WING D -1.5%
MEDP D -1.41%
WFRD D -1.4%
ELF C -1.38%
LNTH D -1.31%
TXRH C -1.31%
ANF C -1.27%
RS B -1.25%
RRC B -1.25%
EXEL B -1.24%
SSD D -1.24%
PK B -1.22%
FN D -1.22%
CHDN B -1.21%
LII A -1.17%
SAIA B -1.16%
VVV F -1.16%
NVT B -1.13%
OVV B -1.13%
RMBS C -1.11%
CASY A -1.11%
AIT A -1.1%
ESAB B -1.09%
ONTO D -1.09%
UFPI B -1.08%
PRI A -1.06%
MANH D -1.05%
COKE C -1.05%
RBA A -1.02%
GTLS B -1.02%
TPX B -0.98%
LOPE B -0.97%
WSM B -0.96%
CHRD D -0.94%
NEU C -0.94%
FND C -0.93%
PLNT A -0.93%
VAL D -0.92%
SKX D -0.91%
WSO A -0.89%
ALTR B -0.89%
CR A -0.88%
WLK D -0.83%
MTDR B -0.83%
RBC A -0.82%
CELH F -0.79%
HLNE B -0.79%
OLED D -0.78%
CIVI D -0.77%
CROX D -0.76%
LECO B -0.75%
TREX C -0.69%
LNW D -0.67%
PEN B -0.66%
VNT B -0.66%
ENSG D -0.62%
WMS D -0.62%
BCO D -0.6%
DBX B -0.59%
BYD C -0.58%
HALO F -0.55%
ARWR F -0.52%
CAR C -0.45%
FCN D -0.44%
ACHC F -0.35%
FIVE F -0.34%
COTY F -0.34%
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