RSPT vs. QMID ETF Comparison

Comparison of Invesco S&P 500 Equal Weight Technology ETF (RSPT) to WisdomTree U.S. MidCap Quality Growth Fund (QMID)
RSPT

Invesco S&P 500 Equal Weight Technology ETF

RSPT Description

The fund generally will invest at least 90% of its total assets in securities that comprise the underlying index. The underlying index is composed of all of the components of the S&P 500® Information Technology Index, an index that contains the common stocks of all companies included in the S&P 500® Index that are classified as members of the information technology services sector, as defined according to the Global Industry Classification Standard (GICS).

Grade (RS Rating)

Last Trade

$38.42

Average Daily Volume

270,243

Number of Holdings *

68

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

WisdomTree U.S. MidCap Quality Growth Fund

QMID Description Under normal circumstances, the fund invests at least 80% of its net assets in the constituent securities of its index, each of which is a security issued by a mid-cap company, identified in accordance with the index provider"s market-capitalization selection parameters, that is incorporated and headquartered in the United States.

Grade (RS Rating)

Last Trade

$0.00

Average Daily Volume

332

Number of Holdings *

120

* may have additional holdings in another (foreign) market
Performance
Period RSPT QMID
30 Days -0.63% 2.13%
60 Days 1.46% 4.45%
90 Days 2.76% 6.97%
12 Months 27.03%
1 Overlapping Holdings
Symbol Grade Weight in RSPT Weight in QMID Overlap
EPAM C 1.68% 1.35% 1.35%
RSPT Overweight 67 Positions Relative to QMID
Symbol Grade Weight
PLTR B 2.3%
CRWD B 1.84%
CRM B 1.8%
INTC C 1.76%
FTNT B 1.74%
TRMB B 1.73%
FICO A 1.72%
HPE B 1.72%
NVDA A 1.71%
JBL C 1.69%
GDDY A 1.68%
NOW B 1.64%
DELL C 1.63%
ZBRA B 1.62%
ADSK A 1.61%
CSCO B 1.61%
ORCL A 1.6%
FFIV A 1.59%
APH B 1.58%
GEN B 1.57%
PANW A 1.57%
CDNS B 1.56%
MSI A 1.55%
SNPS C 1.55%
PTC B 1.54%
TDY B 1.54%
GLW B 1.53%
HPQ B 1.52%
MU D 1.51%
ANET D 1.49%
ANSS B 1.48%
INTU B 1.48%
IT C 1.46%
TYL B 1.46%
CTSH B 1.45%
TXN C 1.43%
ACN B 1.43%
ROP C 1.42%
KEYS A 1.42%
AAPL C 1.42%
AVGO D 1.41%
VRSN D 1.4%
NTAP C 1.39%
JNPR D 1.38%
AMAT F 1.37%
ADBE D 1.37%
MSFT D 1.37%
LRCX F 1.35%
WDC F 1.35%
IBM C 1.35%
NXPI F 1.35%
QCOM F 1.35%
STX D 1.32%
ADI D 1.3%
ON F 1.29%
AMD F 1.26%
AKAM F 1.24%
KLAC F 1.19%
FSLR F 1.18%
MCHP F 1.17%
CDW F 1.14%
SWKS F 1.13%
TER F 1.12%
MPWR F 0.87%
QRVO F 0.85%
ENPH F 0.8%
SMCI F 0.55%
RSPT Underweight 119 Positions Relative to QMID
Symbol Grade Weight
UI A -1.83%
PODD B -1.67%
UTHR C -1.6%
DOCU B -1.54%
COHR B -1.5%
FIX A -1.44%
CASY A -1.41%
TOL B -1.41%
CHWY B -1.29%
CLH C -1.27%
PFGC B -1.26%
LBRDK C -1.25%
PAYC B -1.21%
TXRH B -1.2%
JKHY D -1.17%
TTEK F -1.16%
HLI A -1.16%
SAIA C -1.15%
PCTY B -1.11%
COKE C -1.1%
MGM D -1.09%
TECH F -1.08%
BJ B -1.08%
GNRC B -1.08%
EVR B -1.08%
LW C -1.07%
LECO C -1.04%
KNSL B -1.02%
AAON B -1.01%
MEDP F -1.0%
SIRI D -1.0%
MUSA B -0.98%
WCC B -0.98%
FND D -0.97%
LAD B -0.96%
MLI B -0.95%
CRL D -0.95%
CHDN B -0.95%
MKTX D -0.94%
EXEL B -0.93%
ALSN B -0.93%
EXP B -0.93%
TPX B -0.89%
TKO A -0.88%
DBX C -0.86%
SKX F -0.84%
WING F -0.84%
PEN B -0.83%
BRBR A -0.82%
CNM C -0.82%
TTC F -0.81%
GPK D -0.8%
ENSG D -0.78%
PR B -0.77%
APPF C -0.76%
BRKR F -0.76%
UFPI C -0.76%
DINO D -0.76%
TREX C -0.75%
CHE D -0.74%
APA F -0.74%
MTCH F -0.74%
ONTO F -0.73%
RLI A -0.73%
OLED F -0.72%
SSD D -0.72%
MTDR B -0.72%
HLNE B -0.71%
TMHC C -0.71%
EXLS B -0.69%
SAIC F -0.69%
HALO F -0.68%
DAR C -0.68%
SITE F -0.67%
CMC B -0.65%
CHH A -0.65%
OMF A -0.65%
LSTR D -0.64%
AM A -0.64%
BYD B -0.64%
WSC F -0.63%
SPSC D -0.63%
LSCC F -0.63%
ELF C -0.63%
AN D -0.62%
MTH D -0.6%
BMI B -0.6%
DDS B -0.59%
AGCO F -0.59%
VNT C -0.58%
CROX F -0.58%
KBH D -0.57%
AMKR F -0.57%
COOP B -0.57%
CLF F -0.57%
THO C -0.55%
MGY A -0.54%
CHRD F -0.54%
ETSY D -0.54%
NXST D -0.53%
ABG B -0.53%
BCC C -0.52%
LNTH C -0.51%
IBP D -0.51%
DY D -0.49%
CRUS F -0.48%
SM C -0.48%
OLN F -0.47%
EXPO D -0.47%
TNET C -0.46%
FIVE F -0.46%
QLYS C -0.44%
CIVI F -0.43%
ZI C -0.36%
OPCH F -0.34%
PBF D -0.34%
ALGM F -0.33%
ATKR D -0.25%
NFE F -0.1%
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