PSCT vs. QCLN ETF Comparison

Comparison of PowerShares S&P SmallCap Information Technology Portfolio (PSCT) to First Trust NASDAQ Clean Edge Green Energy Index Fund (QCLN)
PSCT

PowerShares S&P SmallCap Information Technology Portfolio

PSCT Description

The PowerShares S&P SmallCap Information Technology Portfolio (Fund) is based on the S&P SmallCap 600® Capped Information Technology Index (Index). The Fund will normally invest at least 90% of its total assets in common stocks that comprise the Index. The Index is designed to measure the overall performance of common stocks of US information technology companies. These companies are principally engaged in the business of providing information technology-related products and services, including computer hardware and software, Internet, electronics and semiconductors and communication technologies. The Index is a subset of the S&P SmallCap 600® Index, which is a float-adjusted, market-capitalization-weighted index reflecting the US small-cap market. The Fund and the Index are rebalanced and reconstituted quarterly.

Grade (RS Rating)

Last Trade

$46.00

Average Daily Volume

13,612

Number of Holdings *

63

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

First Trust NASDAQ Clean Edge Green Energy Index Fund

QCLN Description The investment seeks investment results that correspond generally to the price and yield (before the fund's fees and expenses) of an equity index called the NASDAQ(R) Clean Edge(R) Green Energy Index(SM). The fund will normally invest at least 90% of its net assets plus the amount of any borrowings for investment purposes in common stocks that comprise the index. The index is a modified market capitalization-weighted index in which larger companies receive a larger Index weighting and includes caps to prevent high concentrations among larger alternative energy stocks. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$33.53

Average Daily Volume

88,533

Number of Holdings *

46

* may have additional holdings in another (foreign) market
Performance
Period PSCT QCLN
30 Days -1.93% -3.93%
60 Days -4.10% -4.72%
90 Days 2.81% 0.98%
12 Months 13.96% -4.02%
4 Overlapping Holdings
Symbol Grade Weight in PSCT Weight in QCLN Overlap
AEIS A 2.64% 2.22% 2.22%
ITRI A 2.98% 2.55% 2.55%
SEDG F 0.57% 0.53% 0.53%
WOLF D 1.23% 1.04% 1.04%
PSCT Overweight 59 Positions Relative to QCLN
Symbol Grade Weight
SPSC F 4.62%
BMI D 3.86%
NSIT F 3.85%
MARA D 3.5%
ACIW C 3.34%
BOX D 3.05%
PI C 2.85%
PLXS A 2.57%
IDCC A 2.42%
SANM A 2.38%
DXC D 2.35%
FORM F 2.21%
SITM B 2.21%
YOU A 2.17%
SMTC B 2.16%
ENV A 2.05%
DIOD F 1.95%
BL B 1.92%
ACLS F 1.91%
PRGS B 1.82%
ALRM F 1.73%
DOCN B 1.7%
PLUS C 1.69%
AGYS D 1.61%
DV F 1.55%
KLIC B 1.54%
CALX D 1.45%
OSIS F 1.42%
VIAV A 1.33%
TTMI A 1.28%
EXTR B 1.23%
VYX F 1.22%
HLIT F 1.11%
ROG D 1.1%
VECO F 1.08%
BHE A 1.04%
UCTT F 1.03%
RAMP D 1.03%
KN C 0.99%
PLAB F 0.96%
NTCT C 0.95%
CTS A 0.94%
COHU B 0.77%
XRX F 0.76%
MXL D 0.75%
ARLO F 0.71%
DGII B 0.71%
ATEN A 0.69%
SCSC F 0.67%
ICHR F 0.59%
PDFS F 0.58%
CNXN F 0.57%
CXM F 0.57%
NABL F 0.57%
VSAT F 0.56%
AOSL D 0.55%
SWI B 0.44%
CEVA D 0.36%
CRSR D 0.18%
PSCT Underweight 42 Positions Relative to QCLN
Symbol Grade Weight
TSLA A -10.02%
ON D -7.88%
FSLR C -7.24%
ENPH F -5.68%
RIVN F -5.37%
AYI A -4.94%
ALB C -4.41%
OLED F -4.37%
LCID F -3.12%
ORA B -2.64%
ALGM F -2.35%
HASI B -2.23%
ENS F -2.15%
POWI C -1.96%
RUN C -1.72%
MP B -1.69%
FLNC B -1.49%
BE D -1.25%
CWEN C -1.25%
NEP F -0.98%
PLUG C -0.96%
SQM D -0.85%
VICR B -0.84%
RNW F -0.78%
ASPN F -0.76%
AMRC C -0.56%
PSNY F -0.55%
ARRY D -0.52%
AMSC A -0.49%
SHLS F -0.48%
MNTK B -0.44%
EOSE B -0.41%
NOVA F -0.37%
WLDN B -0.36%
CLNE D -0.34%
AMPS C -0.31%
CHPT F -0.29%
LYTS A -0.26%
LNZA C -0.19%
BLNK C -0.11%
WBX F -0.1%
TPIC F -0.09%
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