QGRW vs. TTAC ETF Comparison

Comparison of WisdomTree U.S. Quality Growth Fund (QGRW) to TrimTabs Float Shrink ETF (TTAC)
QGRW

WisdomTree U.S. Quality Growth Fund

QGRW Description

WisdomTree U.S. Quality Growth Fund is an exchange traded fund launched by WisdomTree, Inc. The fund is co-managed by Mellon Investments Corporation, WisdomTree Asset Management, Inc. It invests in public equity markets of the United States. The fund invests in stocks of companies operating across diversified sectors. It invests in growth stocks of companies across diversified market capitalization. The fund seeks to track the performance of the WisdomTree U.S. Quality Growth Index, by using representative sampling technique. WisdomTree U.S. Quality Growth Fund was formed on December 15, 2022 and is domiciled in the United States.

Grade (RS Rating)

Last Trade

$48.44

Average Daily Volume

81,828

Number of Holdings *

100

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

TrimTabs Float Shrink ETF

TTAC Description The Fund seeks to generate long-term returns in excess of the total return of the Russell 3000 Index, with less volatility than the Index.

Grade (RS Rating)

Last Trade

$69.38

Average Daily Volume

56,687

Number of Holdings *

143

* may have additional holdings in another (foreign) market
Performance
Period QGRW TTAC
30 Days 5.17% 6.26%
60 Days 6.92% 7.10%
90 Days 7.96% 9.14%
12 Months 38.55% 29.47%
32 Overlapping Holdings
Symbol Grade Weight in QGRW Weight in TTAC Overlap
AAPL C 10.55% 5.95% 5.95%
ADBE C 1.1% 1.46% 1.1%
APP B 1.26% 2.53% 1.26%
BKNG A 0.94% 1.61% 0.94%
CDNS B 0.5% 0.26% 0.26%
CPNG D 0.46% 0.28% 0.28%
CRWD B 0.52% 0.88% 0.52%
DDOG A 0.47% 0.54% 0.47%
DFS B 0.55% 0.65% 0.55%
ENPH F 0.02% 0.15% 0.02%
ERIE D 0.07% 0.18% 0.07%
FDS B 0.08% 0.41% 0.08%
FTNT C 0.67% 1.07% 0.67%
INTU C 1.03% 1.32% 1.03%
IT C 0.46% 0.65% 0.46%
KLAC D 0.52% 0.52% 0.52%
LRCX F 0.48% 0.53% 0.48%
MANH D 0.07% 0.5% 0.07%
MCHP D 0.28% 0.35% 0.28%
MCO B 0.62% 0.75% 0.62%
META D 3.82% 1.43% 1.43%
MTD D 0.29% 0.38% 0.29%
NBIX C 0.03% 0.28% 0.03%
NFLX A 1.6% 0.38% 0.38%
NOW A 1.1% 1.67% 1.1%
PANW C 0.81% 1.25% 0.81%
PINS D 0.24% 0.25% 0.24%
POOL C 0.07% 0.25% 0.07%
QCOM F 0.8% 1.44% 0.8%
ROL B 0.1% 0.43% 0.1%
TEAM A 0.62% 0.61% 0.61%
V A 2.53% 0.74% 0.74%
QGRW Overweight 68 Positions Relative to TTAC
Symbol Grade Weight
NVDA C 12.17%
MSFT F 9.44%
GOOGL C 5.8%
AMZN C 5.52%
TSLA B 4.25%
AVGO D 2.92%
LLY F 2.8%
MA C 2.06%
BX A 1.18%
AMD F 0.99%
ISRG A 0.99%
TXN C 0.96%
ANET C 0.76%
SBUX A 0.74%
VRTX F 0.69%
UPS C 0.68%
AMAT F 0.66%
FICO B 0.62%
TRGP B 0.61%
APH A 0.6%
ORLY B 0.58%
ABNB C 0.55%
TTD B 0.54%
SQ B 0.53%
CMG B 0.52%
DHI D 0.5%
AZO C 0.5%
SNPS B 0.49%
MSCI C 0.49%
VRT B 0.49%
MNST C 0.47%
ODFL B 0.47%
CPRT A 0.45%
VEEV C 0.44%
ARES A 0.43%
HUBS A 0.41%
WST C 0.37%
IDXX F 0.37%
DECK A 0.36%
YUM B 0.36%
TSCO D 0.35%
ON D 0.35%
DVN F 0.35%
OXY D 0.34%
MPWR F 0.31%
DXCM D 0.23%
AXON A 0.19%
TPL A 0.13%
LII A 0.1%
JBHT C 0.1%
GDDY A 0.1%
LPLA A 0.09%
SMCI F 0.09%
MRNA F 0.09%
MOH F 0.08%
BSY D 0.08%
BLDR D 0.08%
ULTA F 0.08%
INCY C 0.08%
ALB C 0.07%
DT C 0.07%
DPZ C 0.05%
CTRA B 0.05%
BLD D 0.04%
ENTG D 0.04%
WMS D 0.03%
CE F 0.02%
CELH F 0.01%
QGRW Underweight 111 Positions Relative to TTAC
Symbol Grade Weight
HD A -2.79%
ABBV D -2.35%
JNJ D -2.01%
PG A -1.95%
AXP A -1.87%
ACN C -1.76%
BMY B -1.55%
IBM C -1.53%
PM B -1.51%
GILD C -1.49%
LOW D -1.23%
CL D -1.22%
MSI B -1.22%
MMM D -1.18%
ADP B -1.05%
MRK F -0.96%
HLT A -0.95%
AGX B -0.9%
ADSK A -0.89%
KMB D -0.87%
SYF B -0.85%
MPC D -0.84%
LMT D -0.83%
AMGN D -0.79%
TT A -0.78%
CVLT B -0.73%
COF B -0.71%
DOCU A -0.69%
MO A -0.68%
EA A -0.66%
LVS C -0.66%
NKE D -0.65%
EXPE B -0.65%
MLI C -0.65%
RPM A -0.63%
APOG B -0.61%
TROW B -0.61%
FIS C -0.61%
BR A -0.61%
KTB B -0.61%
MAS D -0.59%
HRB D -0.59%
PAYX C -0.59%
VLO C -0.59%
NTAP C -0.57%
CPAY A -0.56%
INGR B -0.54%
BOX B -0.54%
EME C -0.52%
A D -0.51%
PWR A -0.51%
BRBR A -0.5%
SLVM B -0.5%
WSO A -0.49%
AMP A -0.49%
PSTG D -0.49%
WSM B -0.49%
APAM B -0.49%
COLM B -0.49%
LDOS C -0.49%
NTNX A -0.46%
MEDP D -0.45%
WHD B -0.44%
VRSN F -0.43%
WDAY B -0.42%
CLX B -0.41%
ZS C -0.4%
UBER D -0.4%
FAST B -0.4%
HALO F -0.39%
CDW F -0.39%
RMD C -0.39%
ZM B -0.39%
TPR B -0.39%
GEN B -0.38%
DCI B -0.38%
SEIC B -0.37%
MORN B -0.36%
FFIV B -0.36%
JKHY D -0.35%
EXPO D -0.34%
OC A -0.33%
PPC C -0.33%
HOLX D -0.32%
MSA D -0.32%
DBX B -0.32%
CCK C -0.31%
PEGA A -0.29%
SWKS F -0.29%
LECO B -0.28%
CINF A -0.28%
CSWI A -0.28%
UFPI B -0.28%
MTCH D -0.26%
ANF C -0.26%
SMG D -0.24%
PLUS F -0.24%
FTI A -0.24%
HAS D -0.23%
CNM D -0.22%
EEFT B -0.21%
MAT D -0.21%
COR B -0.2%
AFG A -0.15%
CRUS D -0.14%
WFRD D -0.13%
CHX C -0.12%
NYT C -0.11%
QLYS C -0.11%
OMF A -0.1%
DINO D -0.09%
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