SOCL vs. NUMG ETF Comparison

Comparison of Global X Social Media Index ETF (SOCL) to NuShares ESG Mid-Cap Growth ETF (NUMG)
SOCL

Global X Social Media Index ETF

SOCL Description

The investment seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the Solactive Social Media Total Return Index. The fund will invest at least 80% of its total assets in the securities of the underlying index and in American Depositary Receipts and Global Depositary Receipts based on the securities in the underlying index. The underlying index tracks the equity performance of the largest and most liquid companies involved in the social media industry, including companies that provide social networking, file sharing, and other web-based media applications. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$43.69

Average Daily Volume

16,020

Number of Holdings *

27

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

NuShares ESG Mid-Cap Growth ETF

NUMG Description Fund seeks to track the investments results, before fees and expenses, of the TIAA ESG USA Mid-Cap Growth Index.

Grade (RS Rating)

Last Trade

$42.94

Average Daily Volume

28,617

Number of Holdings *

55

* may have additional holdings in another (foreign) market
Performance
Period SOCL NUMG
30 Days 7.53% -1.87%
60 Days 9.91% -2.21%
90 Days 10.05% -1.42%
12 Months 27.62% 18.13%
1 Overlapping Holdings
Symbol Grade Weight in SOCL Weight in NUMG Overlap
SNAP B 6.74% 2.49% 2.49%
SOCL Overweight 26 Positions Relative to NUMG
Symbol Grade Weight
PINS A 9.67%
META D 8.1%
BIDU C 4.75%
GOOGL B 4.63%
NTES D 4.56%
SPOT B 4.15%
MTCH F 4.13%
TME B 3.88%
IAC B 1.78%
BILI B 1.56%
YELP C 1.31%
SPT F 1.19%
CXM F 0.71%
RDDT C 0.62%
BMBL D 0.46%
YY C 0.45%
MOMO C 0.42%
WB C 0.34%
FVRR D 0.34%
VMEO D 0.25%
YALA D 0.23%
HUYA B 0.2%
GRPN F 0.11%
GCBC C 0.07%
ANGI C 0.07%
GRND B 0.06%
SOCL Underweight 54 Positions Relative to NUMG
Symbol Grade Weight
PWR A -3.58%
GWW D -3.44%
VMC C -3.13%
IT D -3.1%
HUBS D -2.9%
WST D -2.67%
AXON C -2.63%
CBRE D -2.6%
FICO C -2.56%
MDB F -2.51%
PTC D -2.44%
LPLA C -2.39%
DECK D -2.37%
BRO C -2.31%
WSM A -2.29%
WAT C -2.19%
STX C -2.17%
TTWO D -2.14%
POOL D -1.99%
LII C -1.94%
ENPH F -1.9%
LSCC F -1.85%
TER A -1.82%
DVA B -1.81%
TOST B -1.81%
ZS F -1.73%
KEYS D -1.72%
FDS D -1.66%
BR D -1.65%
TWLO D -1.63%
RBLX F -1.62%
PCTY F -1.52%
RGEN F -1.5%
DAY F -1.49%
AKAM D -1.46%
CFLT C -1.44%
GGG D -1.44%
MKTX F -1.42%
PATH F -1.41%
TTD B -1.37%
LW F -1.31%
ROKU F -1.26%
VLTO A -1.25%
SBAC F -1.24%
EG C -1.17%
MOH D -0.84%
BURL D -0.74%
ANSS D -0.7%
MTD C -0.42%
EXPD D -0.41%
CHD A -0.35%
PAYC F -0.28%
LBRDK F -0.05%
ULTA F -0.02%
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