SAGP vs. NANR ETF Comparison

Comparison of Strategas Global Policy Opportunities ETF (SAGP) to SPDR S&P North American Natural Resources ETF (NANR)
SAGP

Strategas Global Policy Opportunities ETF

SAGP Description

Strategas Global Policy Opportunities ETF is an exchange traded fund launched by The Advisors' Inner Circle Fund III. The fund is co-managed by Strategas Asset Management, LLC and Vident Investment Advisory, LLC. It invests in public equity markets of global region. The fund invests in stocks of companies operating across diversified sectors. It invests in growth and value stocks of companies across diversified market capitalization. Strategas Global Policy Opportunities ETF is domiciled in the United States.

Grade (RS Rating)

Last Trade

$30.16

Average Daily Volume

2,922

Number of Holdings *

78

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

SPDR S&P North American Natural Resources ETF

NANR Description The investment seeks to track the performance of the S&P BMI North American Natural Resources Index. The fund generally invests substantially all, but at least 80%, of its total assets in the securities comprising the index. The index comprises publicly traded large- and mid-capitalization U.S. and Canadian companies in the natural resources and commodities businesses that meet certain investability requirements and are classified within the sub-industries of one of three natural resources categories: energy, materials or agriculture. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$58.22

Average Daily Volume

16,073

Number of Holdings *

103

* may have additional holdings in another (foreign) market
Performance
Period SAGP NANR
30 Days 0.82% 0.63%
60 Days 1.94% 3.49%
90 Days 2.43% 3.03%
12 Months 24.55% 18.19%
6 Overlapping Holdings
Symbol Grade Weight in SAGP Weight in NANR Overlap
CEIX A 0.26% 0.08% 0.08%
IP A 2.19% 1.22% 1.22%
MP C 0.3% 0.17% 0.17%
MTRN C 0.21% 0.16% 0.16%
SLVM B 0.24% 0.18% 0.18%
SMG C 0.2% 0.19% 0.19%
SAGP Overweight 72 Positions Relative to NANR
Symbol Grade Weight
AXON A 2.97%
FICO B 2.39%
LDOS C 2.35%
PODD C 2.3%
INCY C 2.23%
FOXA A 2.02%
DPZ C 2.01%
HON C 2.0%
GD D 1.93%
VRTX D 1.91%
YUM D 1.86%
NOC D 1.85%
EMN C 1.85%
LMT D 1.83%
VRSN C 1.82%
MO A 1.81%
TXT D 1.8%
ETSY D 1.79%
DVA C 1.77%
EW C 1.76%
BGNE D 1.75%
AOS F 1.68%
MTCH D 1.57%
BIIB F 1.52%
HII F 1.36%
LYB F 1.34%
NVS F 1.34%
LOGI D 1.33%
GEO B 0.38%
CXW C 0.34%
CENX B 0.32%
MD C 0.28%
MASI B 0.27%
NGVT B 0.27%
RMBS B 0.26%
IDCC B 0.26%
EXEL B 0.26%
ARCH B 0.25%
DVAX C 0.24%
HQY A 0.24%
LRN A 0.24%
SAIC F 0.23%
FHI B 0.23%
LSCC D 0.23%
AVAV C 0.23%
MATX C 0.23%
ATGE B 0.23%
SEM B 0.22%
PRI B 0.22%
PRDO B 0.22%
DBX B 0.22%
PBI B 0.22%
YELP C 0.21%
RAMP B 0.21%
AIR B 0.2%
FLR B 0.2%
CC C 0.2%
GKOS B 0.2%
ADUS D 0.19%
HRMY D 0.19%
STRA C 0.19%
MMS F 0.19%
NBIX C 0.19%
AMED F 0.18%
CHE D 0.18%
VTOL B 0.18%
SSTK F 0.18%
HRB D 0.18%
KOP C 0.18%
PII F 0.16%
LNTH D 0.15%
MYGN F 0.12%
SAGP Underweight 97 Positions Relative to NANR
Symbol Grade Weight
XOM B -10.3%
CVX A -7.01%
FCX F -4.37%
NEM D -3.41%
COP C -3.38%
NUE C -2.47%
CTVA C -2.42%
EOG A -2.0%
SW A -1.69%
ADM D -1.59%
SLB C -1.58%
STLD B -1.45%
MPC D -1.43%
PSX C -1.42%
WY F -1.38%
PKG A -1.3%
RS B -1.24%
VLO C -1.2%
BKR A -1.09%
HES B -1.03%
CF A -0.97%
AVY F -0.97%
AMCR C -0.9%
OXY D -0.87%
FANG C -0.83%
BG D -0.79%
AA A -0.76%
HAL C -0.69%
EQT B -0.67%
RGLD C -0.67%
TPL A -0.66%
CRS B -0.62%
DVN F -0.62%
INGR C -0.56%
GPK C -0.53%
MOS F -0.51%
ATI C -0.49%
CTRA B -0.49%
CMC B -0.48%
LPX B -0.45%
MRO B -0.42%
FMC D -0.42%
DAR C -0.41%
CLF F -0.37%
WFG C -0.32%
SEE C -0.31%
FTI A -0.31%
SON F -0.3%
OVV B -0.28%
RYN D -0.25%
AR B -0.24%
HCC B -0.24%
HL D -0.23%
CHRD D -0.21%
APA D -0.21%
RRC B -0.21%
AMR C -0.2%
PR B -0.2%
PCH F -0.2%
CDE C -0.18%
MTDR B -0.17%
NOV C -0.16%
DINO D -0.16%
CNX A -0.15%
WFRD D -0.15%
MGY A -0.13%
SM B -0.13%
MUR D -0.12%
CIVI D -0.12%
WHD B -0.11%
NOG B -0.1%
UEC B -0.09%
KALU C -0.09%
AROC A -0.09%
CRC A -0.09%
WS C -0.09%
VAL F -0.08%
RIG D -0.08%
PBF D -0.08%
HP C -0.08%
PTEN C -0.07%
LBRT D -0.07%
OII B -0.07%
BTU B -0.07%
TDW F -0.06%
TALO C -0.05%
KOS D -0.05%
CRGY B -0.05%
HLX B -0.04%
GPOR B -0.04%
WKC C -0.04%
WTTR A -0.03%
DK C -0.03%
XPRO D -0.03%
AESI B -0.03%
PDS C -0.02%
PARR F -0.02%
Compare ETFs