SPHB vs. SOVF ETF Comparison

Comparison of PowerShares S&P 500 High Beta Portfolio (SPHB) to Sovereign's Capital Flourish Fund (SOVF)
SPHB

PowerShares S&P 500 High Beta Portfolio

SPHB Description

The PowerShares S&P 500 High Beta Portfolio (Fund) is based on the S&P 500 High Beta Index (Index). The Fund will invest at least 90% of its total assets in common stocks that comprise the Index. The Index is compiled, maintained and calculated by Standard & Poor's and consists of the 100 stocks from the S&P 500 Index with the highest sensitivity to market movements, or beta, over the past 12 months. Beta is a measure of relative risk and is the rate of change of a security's price. The Fund and the Index are rebalanced and reconstituted quarterly in February, May, August and November.

Grade (RS Rating)

Last Trade

$91.61

Average Daily Volume

223,915

Number of Holdings *

97

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

Sovereign's Capital Flourish Fund

SOVF Description The fund invests primarily in common stock of publicly traded U.S. companies that are selected by the fund's investment adviser. The Adviser employs an active management strategy in seeking to achieve the fund"s objective.

Grade (RS Rating)

Last Trade

$32.27

Average Daily Volume

12,200

Number of Holdings *

79

* may have additional holdings in another (foreign) market
Performance
Period SPHB SOVF
30 Days 2.29% 5.98%
60 Days 4.40% 5.98%
90 Days 5.67% 5.25%
12 Months 28.40% 24.72%
6 Overlapping Holdings
Symbol Grade Weight in SPHB Weight in SOVF Overlap
ANET C 1.36% 1.08% 1.08%
CPRT B 0.79% 0.47% 0.47%
INTC C 0.99% 0.69% 0.69%
QCOM F 1.07% 1.16% 1.07%
RMD C 0.76% 0.52% 0.52%
SMCI F 0.81% 0.57% 0.57%
SPHB Overweight 91 Positions Relative to SOVF
Symbol Grade Weight
NVDA B 2.08%
TSLA B 1.93%
NCLH B 1.63%
CCL A 1.63%
CRWD B 1.6%
UAL A 1.57%
AVGO D 1.56%
AMD F 1.52%
ALB B 1.51%
VST A 1.4%
BLDR D 1.39%
GNRC C 1.37%
RCL A 1.25%
CZR F 1.25%
URI C 1.25%
AMAT F 1.22%
BX A 1.22%
META D 1.21%
LRCX F 1.21%
MU D 1.2%
TER F 1.18%
CDNS B 1.18%
ORCL A 1.17%
KKR A 1.17%
PWR A 1.16%
DAY B 1.16%
ON D 1.15%
NOW A 1.12%
SNPS B 1.11%
MPWR F 1.1%
CRM B 1.1%
KLAC F 1.09%
AMZN C 1.09%
JBL C 1.09%
ETN A 1.07%
PYPL B 1.07%
ADSK A 1.06%
PANW B 1.04%
ALGN D 1.03%
WDC D 1.03%
BKNG A 1.02%
ABNB C 1.02%
PODD C 1.02%
CEG C 1.01%
FICO B 1.0%
BXP C 1.0%
PH A 0.99%
LW C 0.99%
NXPI D 0.98%
ZBRA B 0.97%
HUBB B 0.97%
LULU C 0.96%
UBER F 0.95%
CARR C 0.95%
MCHP F 0.93%
KEYS A 0.92%
DECK A 0.92%
KEY B 0.92%
INTU B 0.92%
ISRG A 0.89%
WBD B 0.88%
ROK C 0.86%
PHM D 0.85%
APH A 0.85%
ADI D 0.85%
ANSS B 0.84%
GOOG C 0.84%
FSLR F 0.83%
TROW B 0.82%
FCX F 0.81%
EPAM B 0.8%
ADBE C 0.8%
IVZ B 0.8%
KMX B 0.79%
GE D 0.78%
CRL D 0.77%
MHK D 0.76%
SWKS F 0.76%
TXN C 0.76%
ARE F 0.75%
MGM D 0.75%
LEN D 0.75%
EFX F 0.73%
MLM C 0.73%
DHI F 0.71%
IDXX F 0.69%
ENPH F 0.69%
IQV F 0.62%
AES F 0.61%
APTV F 0.58%
QRVO F 0.56%
SPHB Underweight 73 Positions Relative to SOVF
Symbol Grade Weight
GSHD A -3.58%
PAYC B -2.85%
ALKT B -2.83%
PCTY C -2.72%
PRI B -2.71%
COKE C -2.69%
LOPE C -2.69%
CBRE B -2.63%
FI A -2.55%
DAVA C -2.5%
PGR A -2.28%
AFG A -2.28%
LCII C -2.2%
AJG A -2.01%
PX A -2.0%
TSN B -1.96%
FOLD F -1.95%
EEFT B -1.87%
RJF A -1.82%
MOH F -1.78%
PPC C -1.67%
BIGC B -1.62%
DIOD D -1.57%
KFY B -1.54%
NSP F -1.47%
SBAC D -1.46%
RPAY D -1.42%
NHC C -1.39%
COLM C -1.35%
BDX F -1.31%
APG B -1.29%
UPS C -1.27%
FANG C -1.24%
GEF A -1.23%
CSCO B -1.17%
SCHW B -1.17%
DVN F -1.1%
NEO C -1.09%
ITT A -1.05%
BKH A -1.04%
ADV D -1.01%
LECO C -1.01%
VRRM F -1.0%
APA D -1.0%
SITE F -0.98%
AWK C -0.91%
AMED F -0.88%
USFD A -0.85%
IEX C -0.73%
PLOW D -0.7%
CSWI B -0.68%
TFIN B -0.62%
FAST B -0.58%
SAIC F -0.57%
WMT A -0.56%
ADP A -0.56%
JBHT C -0.54%
HCSG C -0.54%
ERIE D -0.52%
VRSN C -0.5%
WCN A -0.49%
HUBS A -0.49%
CPT B -0.49%
GGG B -0.48%
AZZ A -0.48%
ORLY B -0.48%
SPB C -0.47%
SPTN D -0.46%
JJSF C -0.45%
SPSC D -0.45%
KFRC D -0.43%
NTAP C -0.42%
OPCH D -0.37%
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