PCGG vs. SHE ETF Comparison

Comparison of Polen Capital Global Growth ETF (PCGG) to SPDR SSGA Gender Diversity Index ETF (SHE)
PCGG

Polen Capital Global Growth ETF

PCGG Description

The fund is a non-diversified, actively-managed exchange-traded fund ("ETF") that seeks to achieve its objective by investing in a focused portfolio of approximately 25 to 40 common stocks of large capitalization companies that are located anywhere in the world, including companies in both developed and emerging markets, and, in the opinion of the sub-advisor to the fund, have a sustainable competitive advantage. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$11.46

Average Daily Volume

47,388

Number of Holdings *

21

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

SPDR SSGA Gender Diversity Index ETF

SHE Description The investment seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of the SSGA Gender Diversity Index, which tracks U.S. companies that are leaders in advancing women through gender diversity on their boards of directors and in management. Under normal market conditions, the fund generally invests substantially all, but at least 80%, of its total assets in the securities comprising the index. In addition, it may invest in equity securities that are not included in the index, cash and cash equivalents or money market instruments. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$113.69

Average Daily Volume

3,229

Number of Holdings *

239

* may have additional holdings in another (foreign) market
Performance
Period PCGG SHE
30 Days 0.19% -0.26%
60 Days 0.10% 1.00%
90 Days 5.54% 7.55%
12 Months 21.01% 33.34%
6 Overlapping Holdings
Symbol Grade Weight in PCGG Weight in SHE Overlap
ABNB B 1.62% 0.38% 0.38%
ABT A 4.56% 0.74% 0.74%
ACN C 2.73% 4.27% 2.73%
MSFT D 5.96% 4.4% 4.4%
V A 4.19% 1.58% 1.58%
ZTS D 2.14% 0.33% 0.33%
PCGG Overweight 15 Positions Relative to SHE
Symbol Grade Weight
AMZN A 9.22%
GOOG A 7.72%
MA B 4.62%
ADBE F 4.24%
WDAY F 4.12%
MSCI C 4.1%
AON A 4.03%
SHOP B 3.88%
ICLR F 3.35%
PAYC A 3.06%
TMO D 2.85%
GLOB B 2.42%
NOW A 2.27%
ORCL B 1.53%
ADP A 1.47%
PCGG Underweight 233 Positions Relative to SHE
Symbol Grade Weight
META B -4.86%
NVDA B -4.73%
AAPL C -4.39%
CSCO B -3.94%
INTU D -3.26%
JPM A -2.6%
LLY F -2.52%
INTC C -1.74%
NFLX A -1.69%
UNH C -1.69%
PG D -1.56%
JNJ D -1.54%
XOM C -1.45%
BKNG A -1.24%
ADSK B -1.2%
TJX D -1.18%
BAC B -1.15%
COST D -1.11%
KO D -1.07%
MRK F -0.98%
CVX A -0.96%
LOW B -0.96%
CAT B -0.96%
LIN C -0.95%
SBUX A -0.95%
FTNT B -0.91%
WFC B -0.9%
VZ D -0.81%
UBER C -0.66%
T A -0.64%
PGR D -0.64%
AXP A -0.63%
MAR A -0.62%
CMG B -0.61%
SPGI D -0.57%
GE D -0.57%
HLT A -0.52%
RTX C -0.51%
TMUS B -0.5%
ANSS C -0.49%
HUBS B -0.49%
ETN B -0.49%
C A -0.49%
HON B -0.47%
CDW F -0.47%
TYL A -0.45%
MMC D -0.44%
SCHW B -0.44%
VRTX D -0.44%
MDT B -0.44%
ROST F -0.43%
NKE F -0.43%
GDDY A -0.42%
GILD A -0.41%
DE B -0.35%
MCO D -0.33%
LULU C -0.32%
TT C -0.32%
NOC D -0.31%
BA F -0.31%
CI D -0.31%
PNC B -0.3%
RCL B -0.29%
ITW A -0.29%
FLUT A -0.29%
CL F -0.28%
DUK C -0.28%
CVS F -0.27%
TGT D -0.27%
MCK C -0.26%
TSCO D -0.26%
AKAM D -0.26%
EQIX B -0.26%
MMM D -0.25%
DHI D -0.24%
D B -0.24%
NEM D -0.24%
COF A -0.23%
JCI B -0.23%
TFC C -0.23%
CMI B -0.23%
DLR A -0.23%
SPG C -0.22%
FDX C -0.22%
EMR B -0.22%
TWLO A -0.21%
WCN D -0.21%
ECL C -0.21%
BK B -0.21%
PSA D -0.2%
AIG B -0.2%
PRU B -0.2%
CARR D -0.19%
EOG D -0.19%
PEG B -0.18%
NSC B -0.18%
VST B -0.18%
ALL C -0.18%
FIS B -0.18%
AEP D -0.17%
O D -0.17%
GWW A -0.16%
ULTA C -0.16%
IRM B -0.15%
KR A -0.15%
WSM F -0.15%
COR A -0.15%
IDXX F -0.15%
VICI D -0.15%
HIG D -0.15%
CHTR B -0.15%
PSX F -0.15%
SQ B -0.15%
LNG A -0.15%
BURL D -0.15%
CSGP F -0.14%
APTV F -0.14%
ED C -0.14%
EIX D -0.14%
GIS D -0.14%
OXY F -0.14%
EBAY D -0.14%
EXC C -0.14%
WTW A -0.13%
AWK D -0.13%
VTR B -0.13%
ALNY C -0.13%
DOW F -0.13%
CNC D -0.13%
TTD B -0.13%
MTB B -0.13%
DECK B -0.13%
STZ F -0.12%
EA A -0.12%
VLTO D -0.12%
FITB B -0.12%
EXR D -0.12%
XYL F -0.12%
DTE C -0.12%
BKR A -0.12%
ETR A -0.11%
DD D -0.11%
WAB B -0.11%
AVB C -0.11%
ROK B -0.11%
WEC B -0.11%
FANG F -0.11%
XEL A -0.11%
GPN D -0.1%
LDOS A -0.1%
FTV F -0.1%
BIIB F -0.1%
HSY F -0.1%
CAH B -0.1%
LVS B -0.1%
RF B -0.09%
HUBB B -0.09%
ILMN A -0.09%
DKS F -0.09%
INVH F -0.09%
EL F -0.09%
TROW A -0.09%
ADM F -0.09%
EQR D -0.09%
WBD C -0.09%
PPL C -0.09%
BBY D -0.09%
BR C -0.09%
AEE B -0.08%
NTRS B -0.08%
CHD B -0.08%
WY D -0.08%
SYF B -0.08%
PFG C -0.08%
CLX B -0.08%
IFF D -0.08%
SW A -0.08%
CNP C -0.08%
TTWO A -0.08%
PNR B -0.07%
TRU C -0.07%
KEY B -0.07%
OMC B -0.07%
J D -0.07%
SSNC D -0.07%
CMS C -0.07%
FDS B -0.07%
MAA D -0.07%
KIM B -0.07%
LH A -0.07%
AMCR D -0.07%
PINS C -0.07%
LPLA A -0.07%
DG F -0.07%
MGM D -0.07%
LYB F -0.07%
IPG F -0.06%
OC B -0.06%
HST D -0.06%
SWK D -0.06%
SNAP B -0.06%
EQT C -0.06%
KMX F -0.06%
RPM B -0.05%
SJM F -0.05%
TXT F -0.05%
CE F -0.05%
WYNN B -0.05%
FBIN C -0.05%
TSN D -0.05%
ACM A -0.05%
UTHR A -0.05%
DAY A -0.04%
OVV F -0.04%
PARA C -0.04%
AIZ D -0.04%
HRL F -0.04%
AMH F -0.04%
TFX F -0.04%
INCY A -0.04%
NBIX C -0.04%
APA F -0.03%
CPB D -0.03%
WBA C -0.03%
NWSA A -0.03%
Z D -0.03%
DAL A -0.03%
ALB C -0.03%
CRL F -0.03%
RIVN F -0.03%
BBWI F -0.03%
LUV A -0.02%
ACI C -0.02%
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