SPMV vs. ZECP ETF Comparison

Comparison of Invesco S&P 500 Minimum Variance ETF (SPMV) to Zacks Earnings Consistent Portfolio ETF (ZECP)
SPMV

Invesco S&P 500 Minimum Variance ETF

SPMV Description

The investment seeks to track the investment results (before fees and expenses) of the S&P 500® Minimum Volatility Index (the underlying index). The fund generally will invest at least 90% of its total assets in the securities that comprise the underlying index. The underlying index is designed to measure the performance of a subset of constituent securities of the S&P 500 Index using a managed volatility equity strategy that seeks to achieve lower total volatility than the S&P 500 ® Index, while maintaining other similar characteristics of the S&P 500 ® Index.

Grade (RS Rating)

Last Trade

$47.41

Average Daily Volume

650

Number of Holdings *

75

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

Zacks Earnings Consistent Portfolio ETF

ZECP Description The Zacks Earnings Consistent Portfolio ETF seeks to provide long-term total returns and minimize capital loss. The Fund pursues its investment objective by constructing a portfolio of companies that exhibit a track record of moving through recessionary periods with little to minimal impact on aggregate earnings growth relative to the overall equity market.

Grade (RS Rating)

Last Trade

$31.74

Average Daily Volume

38,302

Number of Holdings *

61

* may have additional holdings in another (foreign) market
Performance
Period SPMV ZECP
30 Days 0.25% 1.44%
60 Days 1.56% 2.87%
90 Days 4.00% 4.81%
12 Months 25.48% 25.25%
24 Overlapping Holdings
Symbol Grade Weight in SPMV Weight in ZECP Overlap
AAPL C 2.9% 6.19% 2.9%
ABT B 2.79% 1.06% 1.06%
ACN B 0.31% 1.68% 0.31%
AEP C 0.91% 1.65% 0.91%
AMGN F 0.32% 1.23% 0.32%
CSCO B 3.34% 0.43% 0.43%
GD D 0.06% 0.93% 0.06%
HD B 2.22% 2.51% 2.22%
HSY F 1.05% 1.22% 1.05%
IBM C 0.53% 0.81% 0.53%
INTU B 0.75% 1.3% 0.75%
JNJ C 1.18% 1.29% 1.18%
JPM A 0.61% 2.78% 0.61%
LLY F 0.67% 2.24% 0.67%
MMC B 2.74% 1.99% 1.99%
MRK D 2.43% 0.74% 0.74%
MSFT D 2.85% 5.81% 2.85%
NEE C 1.59% 0.79% 0.79%
ORCL A 2.17% 1.55% 1.55%
PG C 2.72% 2.62% 2.62%
RSG A 0.54% 1.69% 0.54%
RTX D 0.65% 1.33% 0.65%
SO C 0.47% 1.03% 0.47%
TJX A 0.5% 1.07% 0.5%
SPMV Overweight 51 Positions Relative to ZECP
Symbol Grade Weight
NVDA B 3.54%
GEV B 3.53%
TMUS B 3.38%
AMZN C 3.25%
AON A 3.09%
BRK.A B 2.92%
QCOM F 2.79%
AJG A 2.63%
CB C 2.58%
MDLZ F 2.5%
VRTX D 2.42%
AVGO D 2.12%
ADBE C 2.1%
NOW A 1.76%
AMT C 1.76%
VRSK A 1.69%
ZTS D 1.64%
CRM B 1.63%
PGR A 1.61%
GIS D 1.49%
SRE A 1.49%
DUK C 1.3%
REGN F 1.13%
PFE F 1.02%
TRV B 0.98%
AEE A 0.97%
TDY B 0.94%
VZ C 0.93%
BRO B 0.81%
MKC C 0.75%
CCI C 0.7%
XOM B 0.68%
GOOG C 0.58%
ELV F 0.46%
NEM D 0.44%
TSN B 0.42%
HRL D 0.38%
IDXX F 0.37%
META D 0.33%
BIIB F 0.31%
KHC F 0.29%
T A 0.28%
ADM D 0.25%
AIG B 0.25%
PCG A 0.24%
ACGL C 0.23%
CVS D 0.22%
XEL A 0.19%
TRMB B 0.1%
GILD C 0.09%
BA F 0.04%
SPMV Underweight 37 Positions Relative to ZECP
Symbol Grade Weight
GOOGL C -4.57%
UNH B -2.83%
CAT B -2.61%
AXP A -2.52%
WMT A -2.48%
SNPS B -2.36%
NFLX A -2.23%
CTAS B -2.05%
AMP A -1.97%
RCL A -1.78%
HIG B -1.78%
AMAT F -1.76%
PEP F -1.64%
MAR A -1.38%
TFC A -1.36%
MET A -1.36%
MCO B -1.35%
CDNS B -1.32%
PHM D -1.27%
FI A -1.21%
PNC B -1.17%
SYK B -1.11%
BSX A -1.1%
TXN C -1.06%
MCD D -1.03%
TMO F -1.02%
AWK C -0.97%
WRB A -0.93%
BLK B -0.93%
MAA B -0.89%
LH B -0.85%
CHD A -0.79%
CAH B -0.76%
BMY B -0.73%
PLD F -0.69%
DHR F -0.66%
NDAQ A -0.44%
Compare ETFs