SOYB vs. OUSM ETF Comparison

Comparison of Teucrium Soybean Fund ETV (SOYB) to O'Shares FTSE Russell Small Cap Quality Dividend ETF (OUSM)
SOYB

Teucrium Soybean Fund ETV

SOYB Description

The investment seeks to have the daily changes in percentage terms of the fund's NAV per share reflect the daily changes in percentage terms of a weighted average of the closing settlement prices for the three soybean futures contracts. The fund invests normally in Benchmark Component Futures Contracts or in certain circumstances, in other Soybean Futures Contracts trade on the CBOT or on foreign exchange. It may also invest in exchange-traded options on soybean futures contracts and in soybean-based swap agreements that are cleared through the CBOT or its affiliated provider of clearing services in furtherance of the fund's investment objective.

Grade (RS Rating)

Last Trade

$24.80

Average Daily Volume

45,580

Number of Holdings *

3

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

O'Shares FTSE Russell Small Cap Quality Dividend ETF

OUSM Description O'Shares FTSE US Small Cap Quality Dividend ETF is an exchange traded fund (ETF) that seeks investment performance that correlates generally to price and yield before fees and expenses of the FTSE USA Small Cap Qual/Vol/Yield Factor 3% Capped Index.

Grade (RS Rating)

Last Trade

$40.25

Average Daily Volume

65,209

Number of Holdings *

105

* may have additional holdings in another (foreign) market
Performance
Period SOYB OUSM
30 Days -2.22% -5.50%
60 Days 1.80% -1.04%
90 Days -4.20% 3.83%
12 Months -7.30% 14.85%
1 Overlapping Holdings
Symbol Grade Weight in SOYB Weight in OUSM Overlap
ITT B 3.93% 1.85% 1.85%
SOYB Overweight 2 Positions Relative to OUSM
Symbol Grade Weight
HUM F 3.94%
T B 3.93%
SOYB Underweight 104 Positions Relative to OUSM
Symbol Grade Weight
WSM A -3.4%
DKS B -2.26%
LECO D -2.25%
JNPR C -2.16%
TW B -2.13%
EHC A -2.11%
OC A -2.1%
TXRH A -2.04%
CHE D -2.0%
ORI A -1.84%
TFX D -1.79%
AOS C -1.77%
PRI D -1.71%
OGN A -1.7%
SEIC C -1.67%
TPR D -1.66%
NYT D -1.64%
GNTX C -1.61%
CASY A -1.61%
MKTX F -1.59%
TTC D -1.58%
MUSA B -1.54%
LFUS D -1.53%
DCI C -1.51%
HLI B -1.5%
BWA B -1.49%
PINC F -1.43%
EVR C -1.43%
BMI A -1.4%
HRB C -1.33%
RLI C -1.33%
MTG C -1.29%
DLB F -1.28%
RHI D -1.26%
ESNT D -1.25%
AVT A -1.25%
RL D -1.23%
SSD D -1.23%
PDCO F -1.22%
WU B -1.17%
AIT C -1.15%
UFPI D -1.14%
WH D -1.14%
LSTR D -1.09%
RDN D -1.08%
MLI A -1.08%
VST A -1.05%
BC D -1.02%
POWI D -0.99%
AAON A -0.99%
INGR B -0.99%
WTS C -0.92%
PII F -0.85%
HLNE B -0.84%
EXPO A -0.82%
VSH C -0.76%
MSM D -0.74%
CCOI F -0.7%
CHH D -0.68%
IDCC C -0.67%
FLO A -0.66%
TGNA F -0.65%
APAM D -0.62%
FHI D -0.6%
SHOO C -0.54%
COLM B -0.53%
LANC C -0.49%
CRI D -0.49%
NI A -0.47%
BRC A -0.45%
CNS D -0.4%
WDFC D -0.4%
WTRG A -0.39%
PNW A -0.34%
GOLF D -0.34%
CALM D -0.32%
JJSF F -0.27%
OGE A -0.27%
LZB D -0.26%
EIG C -0.25%
KFRC D -0.2%
SNDR F -0.2%
REYN B -0.2%
AMSF F -0.19%
IDA A -0.19%
NFG A -0.19%
NJR A -0.17%
POR A -0.17%
UVV A -0.16%
RGR B -0.15%
OTTR B -0.14%
OGS B -0.14%
BKH A -0.14%
SR A -0.13%
WMK D -0.13%
ALE A -0.13%
NWE A -0.12%
AVA A -0.11%
MGEE A -0.11%
AWR D -0.1%
DHIL D -0.09%
EBF C -0.08%
CPK A -0.07%
NWN A -0.05%
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