SMCP vs. VMAX ETF Comparison

Comparison of AlphaMark Actively Managed Small Cap ETF (SMCP) to Hartford US Value ETF (VMAX)
SMCP

AlphaMark Actively Managed Small Cap ETF

SMCP Description

The investment seeks long-term growth of capital. Under normal circumstances, the fund will invest at least 80% of its net assets (plus any borrowings for investment purposes) in equity securities of small cap companies listed on a U.S. exchange. It defines "equity securities" to include common and preferred stock, American Depositary Receipts ("ADRs"), real estate investment trusts ("REITs"), and exchange-traded funds ("ETFs"). The fund may invest up to 30% of its net assets in foreign equity securities of small cap companies traded on a U.S. exchange as ADRs, which may include companies in emerging markets. It is non-diversified.

Grade (RS Rating)

Last Trade

$35.33

Average Daily Volume

2,218

Number of Holdings *

96

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

Hartford US Value ETF

VMAX Description The fund generally invests at least 80% of its assets in securities of the index and in depositary receipts representing securities of the index.

Grade (RS Rating)

Last Trade

$51.92

Average Daily Volume

72

Number of Holdings *

148

* may have additional holdings in another (foreign) market
Performance
Period SMCP VMAX
30 Days 9.07% 3.35%
60 Days 7.44% 4.23%
90 Days 8.81% 5.95%
12 Months 37.91%
6 Overlapping Holdings
Symbol Grade Weight in SMCP Weight in VMAX Overlap
BCC B 0.97% 1.05% 0.97%
ESNT D 0.84% 0.05% 0.05%
JXN C 1.08% 1.02% 1.02%
LNTH D 0.73% 0.23% 0.23%
RDN C 0.91% 0.27% 0.27%
UFPI B 1.0% 0.22% 0.22%
SMCP Overweight 90 Positions Relative to VMAX
Symbol Grade Weight
LUMN C 1.63%
STRL B 1.51%
CORT B 1.41%
RIOT C 1.36%
TCBI B 1.32%
SFM A 1.29%
HQY B 1.21%
MARA C 1.21%
CVBF A 1.2%
TGNA B 1.18%
SIG B 1.18%
JBT B 1.17%
HTLF B 1.16%
CADE B 1.15%
IDCC A 1.15%
UMBF B 1.15%
CEIX A 1.14%
CARG C 1.14%
KNF A 1.14%
AX A 1.13%
CATY B 1.12%
ARCH B 1.11%
MATX C 1.11%
PBH A 1.11%
MWA B 1.1%
MGEE C 1.1%
VCYT B 1.09%
HWC B 1.09%
FULT A 1.07%
CRC B 1.07%
QLYS C 1.07%
APAM B 1.07%
ACIW B 1.06%
FFBC A 1.06%
BTU B 1.05%
WTS B 1.04%
WSFS A 1.03%
TMHC B 1.03%
SMPL B 1.02%
IOSP B 1.02%
CVLT B 1.01%
BMI B 1.01%
APLE B 1.0%
COOP B 1.0%
CPRX C 0.99%
HNI B 0.99%
KFY B 0.99%
NPO A 0.98%
MMSI B 0.98%
CPK A 0.97%
WHD B 0.96%
ALKS B 0.96%
MHO D 0.96%
WD D 0.95%
CABO C 0.95%
FBP B 0.94%
BUR C 0.93%
TPH D 0.92%
NHI D 0.92%
ENSG D 0.91%
FCPT C 0.91%
ENS D 0.9%
POWI D 0.9%
YOU D 0.9%
IPAR B 0.9%
NMIH D 0.89%
MTH D 0.89%
ICFI F 0.88%
KBH D 0.87%
ASO F 0.87%
BNL D 0.87%
LANC C 0.86%
ATKR C 0.85%
HP B 0.85%
LXP D 0.85%
KRYS B 0.84%
HALO F 0.84%
AMR C 0.82%
PTEN C 0.81%
SPSC C 0.81%
FORM D 0.79%
IIPR D 0.79%
NEOG F 0.78%
DIOD D 0.76%
AEO F 0.76%
LBRT D 0.73%
STNE F 0.67%
STNG F 0.65%
ACLS F 0.62%
PAGS F 0.55%
SMCP Underweight 142 Positions Relative to VMAX
Symbol Grade Weight
EOG A -2.03%
HPQ B -1.93%
C A -1.89%
MTB A -1.87%
WFC A -1.82%
CVS D -1.76%
LNC B -1.59%
STLD B -1.51%
NRG B -1.5%
T A -1.49%
USB A -1.46%
VLO C -1.42%
SYF B -1.39%
META D -1.36%
MA C -1.35%
JPM A -1.34%
MPC D -1.32%
STT A -1.31%
BBY D -1.29%
PNC B -1.29%
BAC A -1.26%
GAP C -1.25%
MCO B -1.24%
BK A -1.22%
TGT F -1.21%
GOOGL C -1.2%
NFG A -1.18%
KR B -1.18%
FDX B -1.16%
RF A -1.13%
LAMR D -1.12%
ELV F -1.12%
VZ C -1.1%
PYPL B -1.09%
TROW B -1.05%
JHG A -1.03%
CINF A -1.01%
NVDA C -0.99%
HPE B -0.98%
ETR B -0.96%
JNJ D -0.96%
BLDR D -0.93%
BRK.A B -0.92%
DUK C -0.92%
XOM B -0.91%
APA D -0.91%
SHW A -0.88%
SO D -0.86%
GILD C -0.85%
IRM D -0.85%
COP C -0.83%
FITB A -0.83%
DVN F -0.81%
UNH C -0.8%
VICI C -0.78%
DELL C -0.77%
CVX A -0.75%
HCA F -0.71%
HBAN A -0.7%
CAT B -0.7%
ACI C -0.68%
NEE D -0.68%
WMT A -0.68%
OGN D -0.68%
RS B -0.66%
QCOM F -0.66%
CB C -0.66%
AVT C -0.65%
MO A -0.65%
V A -0.65%
AMT D -0.63%
COF B -0.62%
HUM C -0.61%
LOW D -0.58%
CHRD D -0.58%
CMC B -0.57%
MTG C -0.54%
CTAS B -0.52%
TEX D -0.51%
MGY A -0.5%
SPG B -0.5%
EQIX A -0.49%
GWW B -0.47%
SW A -0.47%
GS A -0.47%
CBT C -0.47%
PSX C -0.46%
ITW B -0.43%
TMUS B -0.43%
NTAP C -0.42%
MLI C -0.4%
PRU A -0.39%
R B -0.39%
UNM A -0.36%
AAPL C -0.34%
RHI B -0.34%
BPOP B -0.32%
HD A -0.32%
AXS A -0.31%
NUE C -0.3%
OZK B -0.29%
CSCO B -0.27%
AXP A -0.27%
JKHY D -0.27%
SBAC D -0.27%
MKL A -0.26%
DTE C -0.26%
TJX A -0.25%
MRK F -0.24%
MSCI C -0.23%
PHM D -0.22%
CFG B -0.21%
MS A -0.2%
CRBG B -0.2%
XEL A -0.18%
LLY F -0.18%
M D -0.17%
AMAT F -0.16%
NXPI D -0.16%
DINO D -0.14%
CTSH B -0.14%
CMI A -0.14%
CMCSA B -0.13%
COLB A -0.12%
PGR A -0.12%
HRB D -0.11%
EXC C -0.11%
DKS C -0.11%
WY D -0.11%
FHN A -0.1%
OVV B -0.08%
AEP D -0.08%
IBM C -0.07%
CCI D -0.07%
WFRD D -0.05%
CHX C -0.04%
EG C -0.03%
FANG D -0.03%
SM B -0.02%
FCNCA A -0.01%
BKNG A -0.01%
WSM B -0.01%
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