SIHY vs. TPMN ETF Comparison

Comparison of Harbor Scientific Alpha High-Yield ETF (SIHY) to The Timothy Plan Timothy Plan Market Neutral ETF (TPMN)
SIHY

Harbor Scientific Alpha High-Yield ETF

SIHY Description

Harbor ETF Trust - Harbor Scientific Alpha High Yield ETF is an exchange traded fund launched and managed by Harbor Capital Advisors, Inc. It is co-managed by Bluecove Limited. It invests in the fixed income markets of the United States. It invests in U.S. dollar-denominated corporate bonds and debt securities issued by U.S. government, its agencies or government-sponsored enterprises and corporates. The fund primarily invests in investment-grade securities that are rated BBB- and above by S&P and Fitch and Baa3 and above by Moody’s. The fund invests in securities with varying maturities.

Grade (RS Rating)

Last Trade

$45.79

Average Daily Volume

11,553

Number of Holdings *

1

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

The Timothy Plan Timothy Plan Market Neutral ETF

TPMN Description The adviser pursues the fund's investment objective by implementing a proprietary, "market neutral" investment strategy designed to seek income from the fund's investments while maintaining a low correlation to the foreign and domestic equity and bond markets. The adviser uses a multi-strategy approach. The fund will be actively managed, meaning that the sub-advisor may make changes to the fund's portfolio at any time.

Grade (RS Rating)

Last Trade

$23.83

Average Daily Volume

2,245

Number of Holdings *

195

* may have additional holdings in another (foreign) market
Performance
Period SIHY TPMN
30 Days -0.93% -0.35%
60 Days 0.54% 0.84%
90 Days 2.34% 1.28%
12 Months 12.73% -0.99%
0 Overlapping Holdings
Symbol Grade Weight in SIHY Weight in TPMN Overlap
SIHY Overweight 1 Positions Relative to TPMN
Symbol Grade Weight
TTE F 100.1%
SIHY Underweight 195 Positions Relative to TPMN
Symbol Grade Weight
PNM B -10.66%
DTM A -9.96%
DTE C -9.56%
POR C -9.54%
ED C -9.39%
SR D -9.23%
NWE D -8.94%
SO C -8.83%
NI B -8.69%
EMN C -8.4%
CMS C -8.4%
PEG B -8.35%
AVA D -8.1%
PNW D -8.0%
BKH D -7.99%
ORI D -7.95%
NTB C -7.94%
PKG A -7.94%
JHG A -7.89%
REYN F -7.84%
APAM A -7.78%
OGS C -7.7%
FNB A -7.69%
AM C -7.59%
NWBI C -7.55%
KNTK B -7.48%
JEF B -7.38%
KMI B -7.34%
SFL F -7.05%
LNT C -6.98%
ENR B -6.97%
BRY F -6.8%
SWX C -6.79%
OWL B -6.63%
HOPE D -6.49%
OKE B -6.48%
WEC B -6.4%
LYB F -6.32%
CIVI F -6.24%
WMB A -6.18%
CCOI B -6.15%
NAT F -6.15%
EVRG C -6.09%
TRN C -6.01%
SON F -5.92%
FLNG F -5.88%
NWN C -5.79%
NFG C -5.7%
SASR A -5.68%
OMF A -5.67%
IDA A -5.67%
CVI F -5.62%
E D -5.61%
SJM F -5.58%
FIBK B -5.58%
ETR A -5.49%
NJR D -5.4%
WU F -5.38%
CPB D -5.3%
SNV B -5.27%
DLX F -5.26%
DHT F -5.2%
CALM B -5.12%
INGR C -5.01%
HNI D -4.97%
RGP F -4.96%
WEN A -4.96%
OGE C -4.93%
CRGY B -4.93%
SAFT D -4.93%
SPTN D -4.92%
PZZA A -4.91%
AEP D -4.89%
PTEN F -4.88%
NOG F -4.83%
PB B -4.82%
BPOP F -4.8%
GBCI A -4.78%
GNK D -4.77%
IVZ A -4.77%
PPBI B -4.76%
FLO F -4.75%
HRB D -4.74%
AMCR D -4.73%
AGCO C -4.7%
ETD F -4.65%
DIN D -4.62%
NEE D -4.61%
FFBC A -4.59%
SBSI D -4.59%
CTRA F -4.58%
LCII D -4.57%
GOGL F -4.51%
UPBD D -4.48%
AMRK D -4.41%
OZK B -4.38%
RHI C -4.37%
HAFC A -4.36%
SMG A -4.34%
CHRD F -4.31%
PAX B -4.3%
PINC A -4.3%
UGI D -4.25%
SXC A -4.24%
RYI C -4.22%
PDCO F -4.22%
BAX F -4.19%
PSX F -4.18%
MATW D -4.15%
VLO F -4.14%
STLA F -4.08%
NPK F -4.06%
MNRO A -3.96%
BKU C -3.95%
BLMN F -3.93%
FDP A -3.92%
BLX B -3.83%
BKE C -3.81%
GTN C -3.8%
VIRT A -3.78%
APA F -3.78%
DINO F -3.73%
KALU B -3.69%
MOS B -3.67%
PII F -3.63%
FHB A -3.61%
HVT F -3.61%
WSBC A -3.6%
CABO C -3.56%
CRI F -3.56%
JACK C -3.51%
STRA F -3.51%
LEA F -3.49%
COLB A -3.48%
BRKL A -3.46%
MAN F -3.44%
REPX F -3.43%
PLOW F -3.41%
BG F -3.38%
VRTS B -3.37%
DVN F -3.34%
FF B -3.33%
VLY A -3.31%
ASC F -3.31%
KLG F -3.29%
MSM D -3.27%
FBP D -3.24%
EGY F -3.07%
KVUE B -3.06%
ES D -3.05%
CNH A -3.02%
PFG C -2.99%
IIIN F -2.97%
OCFC A -2.96%
LKQ F -2.95%
EBF F -2.9%
WSO D -2.86%
BOH A -2.86%
HASI B -2.84%
MTN F -2.82%
IP A -2.8%
HRL F -2.76%
SWBI D -2.73%
R A -2.73%
TFSL B -2.72%
DCOM B -2.72%
AXS C -2.7%
CWEN C -2.62%
GRMN A -2.57%
BUSE D -2.52%
EMBC C -2.52%
BBWI F -2.46%
OVV F -2.41%
MOV F -2.35%
HUN F -2.29%
PLTK A -2.28%
DDS C -2.28%
SCCO B -2.22%
FMC B -2.22%
SKM D -2.2%
NEM D -2.17%
METC F -2.13%
ACCO B -2.11%
PAYX B -1.98%
GRNT F -1.98%
XP F -1.97%
GLNG B -1.65%
MTG D -1.65%
NWL A -1.61%
UWMC F -1.53%
FAF D -1.44%
DG F -1.37%
SHG D -1.34%
AESI F -1.32%
BGS C -1.3%
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