SKYY vs. FXL ETF Comparison

Comparison of First Trust ISE Cloud Computing Index Fund (SKYY) to First Trust Technology AlphaDEX (FXL)
SKYY

First Trust ISE Cloud Computing Index Fund

SKYY Description

The investment seeks investment results that correspond generally to the price and yield, before the fund's fees and expenses, of an equity index called the ISE Cloud Computing(TM) Index. The index is owned and was developed by International Securities Exchange, LLC ("ISE" or the "Index Provider"). The index Provider has contracted with Standard & Poor's to calculate and maintain the index. The index is designed to provide a benchmark for investors interested in tracking companies actively involved in the cloud computing industry. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$121.06

Average Daily Volume

126,990

Number of Holdings *

62

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

First Trust Technology AlphaDEX

FXL Description The investment seeks investment results that correspond generally to the price and yield (before the fund's fees and expenses) of an equity index called the StrataQuant(R) Technology Index. The fund will normally invest at least 90% of its net assets in common stocks that comprise the index. The index is a modified equal-dollar weighted index designed by NYSE Euronext to objectively identify and select stocks from the Russell 1000(R) Index in the technology sector that may generate positive alpha relative to traditional passive-style indices through the use of the AlphaDEX(R) selection methodology. It is non-diversified.

Grade (RS Rating)

Last Trade

$151.79

Average Daily Volume

17,242

Number of Holdings *

102

* may have additional holdings in another (foreign) market
Performance
Period SKYY FXL
30 Days 10.21% 4.77%
60 Days 15.54% 9.09%
90 Days 21.80% 10.99%
12 Months 47.49% 27.57%
28 Overlapping Holdings
Symbol Grade Weight in SKYY Weight in FXL Overlap
AKAM F 1.85% 1.04% 1.04%
APP B 4.9% 3.39% 3.39%
APPF C 0.54% 0.29% 0.29%
CRM B 2.1% 0.72% 0.72%
CRWD B 0.66% 0.36% 0.36%
DBX C 0.59% 1.01% 0.59%
DDOG A 0.6% 0.34% 0.34%
DELL C 1.86% 1.06% 1.06%
DOCU B 0.72% 1.53% 0.72%
GOOGL B 3.44% 0.63% 0.63%
GTLB B 2.06% 0.35% 0.35%
HPE B 1.76% 1.62% 1.62%
IBM C 3.31% 0.56% 0.56%
MSFT D 3.27% 0.29% 0.29%
NET B 2.39% 0.34% 0.34%
NOW B 1.95% 1.38% 1.38%
NTAP C 1.56% 0.89% 0.89%
NTNX B 3.6% 1.12% 1.12%
ORCL A 4.24% 1.3% 1.3%
PANW A 0.58% 1.08% 0.58%
PAYC B 0.74% 1.6% 0.74%
PSTG F 3.11% 0.29% 0.29%
RNG C 1.38% 1.08% 1.08%
SMAR A 0.61% 1.57% 0.61%
TOST A 0.87% 2.22% 0.87%
TWLO A 2.48% 1.39% 1.39%
WDAY C 0.55% 0.33% 0.33%
ZM B 0.64% 1.4% 0.64%
SKYY Overweight 34 Positions Relative to FXL
Symbol Grade Weight
LUMN C 4.38%
AMZN B 3.79%
ANET D 3.49%
MDB C 2.67%
CSCO B 2.44%
TEAM B 2.42%
SHOP B 2.36%
HUBS A 2.23%
CFLT B 2.15%
WK C 1.91%
FIVN C 1.63%
ADBE D 1.48%
RBRK A 1.46%
DOCN D 1.39%
WIX A 1.18%
SAP A 1.12%
APPN C 0.9%
QTWO A 0.7%
PCTY B 0.68%
BL C 0.65%
QLYS C 0.64%
TTD B 0.64%
ESTC C 0.62%
ZUO B 0.6%
SNOW C 0.6%
INTU B 0.59%
VEEV C 0.57%
ZS C 0.56%
BOX B 0.56%
BLKB C 0.54%
ASAN C 0.54%
FSLY F 0.54%
SPT C 0.49%
OTEX F 0.48%
SKYY Underweight 74 Positions Relative to FXL
Symbol Grade Weight
PLTR B -2.47%
VRT A -1.89%
DASH B -1.89%
PEGA B -1.88%
GWRE A -1.66%
GFS C -1.65%
CTSH B -1.63%
DXC C -1.62%
META C -1.57%
IPGP D -1.57%
AVT C -1.52%
ON F -1.44%
FTNT B -1.44%
NVDA A -1.43%
GDDY A -1.4%
ARW D -1.35%
AMKR F -1.32%
SWKS F -1.32%
JBL C -1.28%
DNB A -1.27%
INTC C -1.26%
TYL B -1.25%
HPQ B -1.21%
CNXC F -1.21%
DT D -1.19%
MANH D -1.18%
AVGO D -1.17%
DOX D -1.16%
EPAM C -1.15%
MSTR B -1.15%
SNX C -1.14%
S C -1.07%
FFIV A -1.03%
IT C -0.99%
CRUS F -0.97%
SSNC C -0.93%
HCP B -0.93%
CACI D -0.91%
AAPL C -0.91%
QCOM F -0.9%
DLB B -0.89%
AMAT F -0.86%
SAIC F -0.84%
MTCH F -0.77%
MPWR F -0.74%
DAY B -0.74%
DV C -0.71%
GLOB C -0.68%
ADSK A -0.66%
APH B -0.66%
ROP C -0.6%
TXN C -0.59%
LSCC F -0.57%
VRSN D -0.57%
KBR F -0.55%
IAC D -0.52%
U C -0.49%
MCHP F -0.48%
OLED F -0.47%
ONTO F -0.47%
TER F -0.47%
PYCR C -0.36%
KD A -0.36%
ANSS B -0.32%
GEN B -0.32%
GLW B -0.31%
INFA C -0.3%
MU D -0.28%
ADI D -0.27%
SMCI F -0.26%
KLAC F -0.25%
AMD F -0.25%
ALGM F -0.25%
CDW F -0.24%
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