NURE vs. REM ETF Comparison

Comparison of NuShares Enhanced Yield US Aggregate Bond ETF (NURE) to iShares Mortgage Real Estate Capped ETF (REM)
NURE

NuShares Enhanced Yield US Aggregate Bond ETF

NURE Description

Fund seeks to track the investments results, before fees and expenses, of the Dow Jones U.S. Select Short-Term REIT Index.

Grade (RS Rating)

Last Trade

$29.54

Average Daily Volume

11,504

Number of Holdings *

32

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

iShares Mortgage Real Estate Capped ETF

REM Description The investment seeks to track the investment results of an index composed of U.S. real estate investment trusts ("REITs") that hold U.S. residential and commercial mortgages. The fund generally invests at least 90% of its assets in securities of the underlying index and in depositary receipts representing securities of the underlying index. The underlying index measures the performance of the residential and commercial mortgage real estate, mortgage finance and savings associations sectors of the U.S. equity market. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$21.98

Average Daily Volume

286,157

Number of Holdings *

32

* may have additional holdings in another (foreign) market
Performance
Period NURE REM
30 Days -0.19% -2.44%
60 Days 1.47% 0.06%
90 Days -1.21% -5.98%
12 Months -0.17% 11.77%
0 Overlapping Holdings
Symbol Grade Weight in NURE Weight in REM Overlap
NURE Overweight 32 Positions Relative to REM
Symbol Grade Weight
AVB A 5.08%
CPT A 5.06%
ESS A 5.02%
CUBE D 5.01%
EQR A 4.99%
MAA D 4.98%
AMH B 4.96%
INVH B 4.95%
UDR A 4.95%
EXR D 4.93%
PSA D 4.83%
ELS F 4.82%
HST D 4.77%
RHP D 4.74%
SUI D 4.71%
AIRC A 4.03%
IRT B 2.56%
PK C 2.53%
APLE D 2.38%
NSA D 2.01%
SHO D 1.55%
DRH C 1.37%
PEB C 1.29%
RLJ D 1.26%
XHR D 1.1%
SVC D 0.77%
AIV A 0.76%
UMH B 0.69%
CSR A 0.68%
NXRT A 0.52%
INN D 0.5%
CLDT F 0.33%
NURE Underweight 32 Positions Relative to REM
Symbol Grade Weight
NLY C -15.35%
AGNC C -10.76%
STWD D -9.65%
RITM A -8.81%
BXMT D -4.28%
ABR D -4.27%
ARI C -3.74%
RC C -3.39%
TWO B -3.07%
LADR B -2.95%
PMT B -2.93%
MFA C -2.66%
FBRT D -2.58%
CIM D -2.28%
ARR D -2.17%
EFC C -2.11%
BRSP D -2.01%
CMTG F -1.98%
RWT D -1.84%
DX C -1.65%
NYMT F -1.56%
KREF D -1.43%
TRTX A -1.25%
ORC C -1.07%
IVR D -1.01%
ACRE D -0.87%
REFI C -0.64%
GPMT F -0.55%
AFCG B -0.49%
SEVN B -0.41%
AOMR B -0.33%
NREF D -0.27%
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