REZ vs. SMHB ETF Comparison

Comparison of iShares Residential Real Estate Capped ETF (REZ) to ETRACS Monthly Pay 2x Leveraged Small Cap High Dividend ETN Series B (SMHB)
REZ

iShares Residential Real Estate Capped ETF

REZ Description

The investment seeks to track the investment results of an index composed of U.S. residential, healthcare and self-storage real estate equities. 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, healthcare and self-storage real estate sectors of the U.S. equity market. Components primarily include real estate investment trusts ("REITs"). The fund is non-diversified.

Grade (RS Rating)

Last Trade

$70.48

Average Daily Volume

44,733

Number of Holdings *

37

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

ETRACS Monthly Pay 2x Leveraged Small Cap High Dividend ETN Series B

SMHB Description The investment seeks to provide a two times leveraged return linked to the compounded monthly performance of the Solactive US Small Cap High Dividend Index (the “index”). The index is designed to measure the performance of 100 relatively small capitalization, dividend yielding index constituent securities selected from a universe of qualifying U.S. listed equity securities. The Securities are two times leveraged with respect to the index and, as a result, will benefit from two times any beneficial, but will be exposed to two times any adverse, compounded monthly performance of the index.

Grade (RS Rating)

Last Trade

$6.23

Average Daily Volume

38,479

Number of Holdings *

91

* may have additional holdings in another (foreign) market
Performance
Period REZ SMHB
30 Days -1.32% -2.75%
60 Days 3.32% 7.39%
90 Days 0.98% -1.77%
12 Months 1.76% 48.69%
6 Overlapping Holdings
Symbol Grade Weight in REZ Weight in SMHB Overlap
CTRE A 0.84% 1.16% 0.84%
GMRE F 0.15% 0.5% 0.15%
LTC A 0.38% 0.91% 0.38%
NHI A 0.74% 1.64% 0.74%
SBRA C 0.94% 2.38% 0.94%
UHT D 0.13% 0.36% 0.13%
REZ Overweight 31 Positions Relative to SMHB
Symbol Grade Weight
WELL A 13.08%
PSA D 10.98%
EXR D 7.59%
AVB A 6.78%
EQR A 5.95%
ESS A 4.49%
INVH B 4.44%
VTR B 4.4%
MAA C 4.34%
SUI D 4.14%
DOC A 3.8%
AMH B 3.49%
UDR A 3.49%
ELS F 3.28%
CPT A 2.98%
CUBE D 2.85%
OHI B 2.22%
AIRC A 1.7%
HR B 1.57%
IRT A 1.06%
MPW C 0.83%
NSA D 0.81%
ELME A 0.38%
AIV A 0.34%
VRE D 0.33%
UMH B 0.28%
CSR A 0.28%
NXRT B 0.21%
CHCT C 0.2%
DHC D 0.17%
BRT A 0.06%
REZ Underweight 85 Positions Relative to SMHB
Symbol Grade Weight
SLG A -4.87%
XRX F -4.09%
DTM A -3.81%
BXMT F -3.43%
DSS F -2.87%
TWO B -2.87%
CIM D -2.62%
ETRN A -2.49%
BDN A -2.41%
BGS B -2.41%
EPR D -2.34%
ABR C -2.21%
APAM D -2.02%
PAGP A -1.88%
UNIT B -1.86%
UWMC C -1.84%
ARR D -1.65%
ORC B -1.51%
CCOI D -1.51%
PSEC D -1.47%
IVR C -1.43%
DEA B -1.35%
PMT B -1.35%
MFA C -1.27%
RWT D -1.24%
PETS F -1.13%
MAIN A -1.09%
HTGC A -1.03%
ARI B -1.02%
GNL D -1.01%
FCPT C -1.0%
EFC C -1.0%
PDM A -0.99%
GSBD A -0.94%
NEWT D -0.94%
NYMT D -0.93%
DX C -0.89%
KREF D -0.8%
VGR D -0.79%
NWBI D -0.77%
GBDC A -0.73%
CODI D -0.72%
VNOM A -0.65%
SCS C -0.65%
RC C -0.65%
ACRE D -0.64%
LADR B -0.62%
TSLX A -0.62%
HESM D -0.59%
UVV A -0.54%
OCSL A -0.54%
AROC A -0.53%
ILPT F -0.49%
BRSP D -0.49%
WSR C -0.46%
ALX D -0.45%
GTY B -0.44%
OPI F -0.4%
RMR C -0.38%
NMFC B -0.38%
GPMT D -0.34%
CSWC A -0.34%
GOOD A -0.33%
FSP D -0.29%
TRTX A -0.29%
TCPC D -0.27%
AHH B -0.27%
CGBD A -0.25%
BCSF A -0.24%
TPVG D -0.23%
PFLT A -0.23%
SLRC A -0.23%
UVE B -0.22%
BBDC B -0.22%
KRO A -0.2%
EBF D -0.18%
GAIN A -0.17%
PNNT A -0.16%
OLP A -0.16%
FDUS A -0.16%
GLAD A -0.15%
BFS D -0.14%
TRIN A -0.12%
CCAP A -0.1%
REPX D -0.07%
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