NRSH vs. SHRY ETF Comparison

Comparison of Aztlan North America Nearshoring Stock Selection ETF (NRSH) to First Trust Bloomberg Shareholder Yield ETF (SHRY)
NRSH

Aztlan North America Nearshoring Stock Selection ETF

NRSH Description

The initial universe for the index includes companies that, according to GICS classifications, belong to one of the following industries or sub-industries: (a) Industrial REITs, (b) Office REITs, (c) Real Estate Management & Development, (d) Specialized REITs, (e) Ground Transportation, (f) Air Freight & Logistics, (g) Transportation Infrastructure, or (h) Marine Transportation. The fund will invest all, or substantially all, of its assets in the component securities that make up the index. It is non-diversified.

Grade (RS Rating)

Last Trade

$20.73

Average Daily Volume

738

Number of Holdings *

8

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

First Trust Bloomberg Shareholder Yield ETF

SHRY Description The fund will normally invest at least 90% of its net assets in the securities that comprise the index. The index is designed to select dividend-paying securities issued by large capitalization U.S. companies.

Grade (RS Rating)

Last Trade

$36.92

Average Daily Volume

1,081

Number of Holdings *

51

* may have additional holdings in another (foreign) market
Performance
Period NRSH SHRY
30 Days -3.22% -1.92%
60 Days -3.25%
90 Days -3.00%
12 Months
1 Overlapping Holdings
Symbol Grade Weight in NRSH Weight in SHRY Overlap
UNP C 5.2% 1.38% 1.38%
NRSH Overweight 7 Positions Relative to SHRY
Symbol Grade Weight
FWRD F 6.73%
CHRW C 6.55%
LSTR D 5.73%
GXO F 5.29%
KEX A 5.27%
IIPR A 5.19%
HUBG C 4.94%
NRSH Underweight 50 Positions Relative to SHRY
Symbol Grade Weight
MO A -5.05%
PFG C -4.5%
DELL B -3.83%
HPQ D -3.72%
EOG B -3.67%
AMP B -3.51%
DOW C -3.33%
MET D -3.31%
AFL B -3.27%
PRU C -3.27%
CMCSA F -3.18%
LMT B -3.02%
JNJ F -2.88%
GIS B -2.65%
CSX D -2.31%
MCK C -2.26%
MMM A -1.95%
CME D -1.88%
LOW D -1.86%
CHTR F -1.83%
GD A -1.78%
UPS F -1.78%
CL A -1.68%
CAT D -1.63%
AON F -1.63%
MAR D -1.62%
CB C -1.61%
PG A -1.61%
HD D -1.58%
AAPL C -1.51%
HCA D -1.45%
ABT D -1.43%
KO A -1.35%
LRCX D -1.28%
ADP D -1.26%
V D -1.23%
COST C -1.2%
SHW D -1.19%
SLB F -1.17%
KLAC B -1.14%
QCOM A -1.1%
GOOGL A -1.02%
BLK D -1.0%
MCD F -0.93%
MA D -0.9%
BX D -0.9%
AMAT C -0.79%
ACN F -0.69%
MRK B -0.53%
SOLV C -0.33%
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