PAWZ vs. XSLV ETF Comparison

Comparison of ProShares Pet Care ETF (PAWZ) to PowerShares S&P SmallCap Low Volatility Portfolio (XSLV)
PAWZ

ProShares Pet Care ETF

PAWZ Description

The investment seeks investment results, before fees and expenses, that track the performance of the FactSet Pet Care EW Index (the "index"). The fund seeks to invest substantially all of its assets in the stocks that make up the index. Under normal circumstances, the fund will invest at least 80% of its total assets in the component securities of the index. The index consists of U.S. and international companies that potentially stand to benefit from interest in, resources spent on, pet ownership. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$74.96

Average Daily Volume

41,377

Number of Holdings *

17

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

PowerShares S&P SmallCap Low Volatility Portfolio

XSLV Description The PowerShares S&P SmallCap Low Volatility Portfolio (Fund) is based on the S&P SmallCap 600 Low Volatility Index (Index). The Fund generally will invest at least 90% of its total assets in common stocks that comprise the Index. The Index is compiled, maintained and calculated by Standard & Poor's, consisting of 120 out of 600 small-capitalization range securities from the S&P SmallCap 600 Index with the lowest realized volatility over the past 12 months. Volatility is a statistical measurement of the magnitude of up and down asset price fluctuations over time. The Fund and the Index are rebalanced and reconstituted quarterly.

Grade (RS Rating)

Last Trade

$45.92

Average Daily Volume

348,229

Number of Holdings *

116

* may have additional holdings in another (foreign) market
Performance
PAWZ XSLV
30 Days 2.84% -0.26%
60 Days 4.76% -3.12%
90 Days -2.13% 3.26%
12 Months 67.75% 40.64%
1 Overlapping Holdings
Grade Symbol Weight in PAWZ Weight in XSLV Overlap
B CENT 3.32% 1.12% 1.12%
PAWZ Overweight 16 Positions Relative to XSLV
Grade Symbol Weight
C FRPT 10.42%
C IDXX 10.36%
B ZTS 10.27%
F CHWY 8.99%
D CVET 4.26%
F TRUP 4.18%
B CL 3.55%
B HSKA 3.01%
B GIS 1.93%
C PETQ 1.85%
B TSCO 1.14%
F PETS 0.97%
B ELAN 0.75%
A SJM 0.73%
F BQ 0.5%
A PDCO 0.14%
PAWZ Underweight 115 Positions Relative to XSLV
Grade Symbol Weight
A UVV -1.15%
B EIG -1.13%
D CSGS -1.11%
F HTLD -1.09%
A HUBG -1.06%
C JBSS -1.04%
A FSS -1.04%
D PRGS -1.03%
B CCOI -1.03%
A BCPC -1.02%
C HCI -1.01%
B CORE -1.01%
A WIRE -1.0%
D EXPO -1.0%
B LXP -1.0%
D CALM -0.99%
B NPK -0.99%
D OSIS -0.99%
C SAFT -0.98%
C LMNX -0.97%
A PBH -0.96%
B NSA -0.95%
C WABC -0.94%
D SSTK -0.93%
C HSII -0.93%
D AMSF -0.93%
C OMCL -0.92%
F DEA -0.91%
B AVA -0.91%
A SBSI -0.9%
B ILPT -0.9%
B TTEC -0.89%
D CFFN -0.89%
B CPK -0.89%
C BRC -0.89%
B ADC -0.89%
B FWRD -0.88%
D FN -0.88%
B RGP -0.88%
B LNN -0.87%
D ASTE -0.87%
B NSIT -0.87%
A FUL -0.86%
D KN -0.86%
D CHCO -0.86%
A WTS -0.86%
C COKE -0.86%
B CBU -0.86%
C AMPH -0.86%
B SANM -0.86%
A HSTM -0.86%
D ESE -0.86%
A MEI -0.86%
A EVTC -0.85%
A SAIA -0.85%
D MLAB -0.85%
A PLXS -0.85%
D THRM -0.85%
B TTMI -0.85%
C RGR -0.84%
B NBHC -0.84%
D DORM -0.83%
B ALG -0.83%
D SYKE -0.83%
A SCL -0.82%
A FELE -0.82%
C PKE -0.82%
B VIAV -0.82%
D NWBI -0.82%
D UNF -0.82%
D NBTB -0.82%
C ECOL -0.82%
D HMN -0.82%
B SMP -0.82%
D SPSC -0.82%
D OFIX -0.81%
B SCHL -0.81%
C VGR -0.8%
D ONB -0.8%
D CVGW -0.79%
C PLUS -0.79%
F EPAY -0.79%
C SHEN -0.78%
A JJSF -0.77%
B TNC -0.77%
C CWT -0.77%
B SJI -0.77%
B AWR -0.76%
D PSMT -0.76%
D CVBF -0.76%
C MANT -0.75%
D WRE -0.75%
F FARO -0.75%
F DSPG -0.74%
B CTS -0.74%
D DIOD -0.74%
C ENTA -0.73%
B MRTN -0.72%
D RMBS -0.72%
F JRVR -0.71%
F CSII -0.71%
A NTUS -0.7%
F EGRX -0.7%
B NP -0.69%
D BMI -0.69%
D POWI -0.68%
F WDFC -0.67%
C MGPI -0.67%
C INVA -0.67%
D ALRM -0.65%
D JOE -0.65%
D CNXN -0.64%
D AAON -0.63%
F PCRX -0.61%
D TTGT -0.6%
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