RMIF vs. CZAR ETF Comparison

Comparison of LHA Risk-Managed Income ETF (RMIF) to Themes Natural Monopoly ETF (CZAR)
RMIF

LHA Risk-Managed Income ETF

RMIF Description

The fund is an actively-managed "fund of funds" and seeks to achieve its investment objective by investing primarily in other investment companies, including other actively managed exchange-traded funds ("ETFs") and index-based ETFs (collectively, "Underlying Investments"), that provide exposure to a broad range of fixed income asset classes. The fund may also invest in cash, cash equivalents, or money market funds.

Grade (RS Rating)

Last Trade

$25.42

Average Daily Volume

2,568

Number of Holdings *

4

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

Themes Natural Monopoly ETF

CZAR Description The index is designed to provide exposure to companies in the large- and mid- capitalization segments that exhibit a strong competitive advantage in their respective sector. The fund will invest, under normal circumstances, at least 80% of its net assets, plus the amount of any borrowings for investment purposes, in securities that comprise the index and in American Depositary Receipts ("ADRs") and Global Depositary Receipts ("GDRs") based on the securities in the index. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$29.57

Average Daily Volume

322

Number of Holdings *

45

* may have additional holdings in another (foreign) market
Performance
Period RMIF CZAR
30 Days 0.81% 0.56%
60 Days 1.20% 1.42%
90 Days 2.23% 2.37%
12 Months 8.06%
0 Overlapping Holdings
Symbol Grade Weight in RMIF Weight in CZAR Overlap
RMIF Overweight 4 Positions Relative to CZAR
Symbol Grade Weight
BKLN A 20.26%
SJNK A 20.15%
SRLN A 20.09%
FTSL A 19.39%
RMIF Underweight 45 Positions Relative to CZAR
Symbol Grade Weight
CSCO B -3.99%
APO B -3.87%
BLK B -3.7%
META D -3.57%
AXP A -3.46%
FTV C -3.34%
AJG A -3.16%
ADI D -3.04%
OTEX F -3.0%
ADBE C -2.99%
BMY B -2.61%
GILD C -2.49%
VRTX D -1.91%
KVUE A -1.3%
PG C -1.01%
AME A -1.01%
PEP F -1.0%
KO D -0.98%
XYL D -0.78%
SNA A -0.7%
CVX A -0.67%
CPAY A -0.63%
CHTR C -0.62%
GPN B -0.54%
MA B -0.53%
CMCSA B -0.52%
V A -0.52%
EXC C -0.49%
ROL B -0.48%
LKQ F -0.48%
ABNB C -0.41%
ECL D -0.39%
WCN A -0.39%
UBER F -0.37%
LIN C -0.37%
FDX B -0.36%
CNI F -0.35%
STLA F -0.35%
VMC B -0.33%
T A -0.32%
DGX A -0.31%
VZ C -0.27%
IQV F -0.26%
RSG A -0.24%
GPC D -0.15%
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