SPRX vs. SCHZ ETF Comparison

Comparison of Spear Alpha ETF (SPRX) to Schwab US Aggregate Bond ETF (SCHZ)
SPRX

Spear Alpha ETF

SPRX Description

SPRX invests in companies that are poised to benefit from breakthrough trends in industrial technology. The fund’s objective is to find underappreciated opportunities across different industrial supply chains that are beneficiaries of the secular themes discussed below: Environmental Focus and Decarbonization Manufacturing Digitalization Automation & Robotics Photonics and Additive Manufacturing Space Exploration Artificial Intelligence (AI) SPRX is an actively managed ETF that seeks long-term capital growth by investing in US listed securities (including American depositary receipts "ADRs") of industrial and technology companies relevant to the Fund’s investment themes and the ecosystem around them. SPRX invests in both “growth”, defined as companies with high and underappreciated growth prospects, and “value”, defined as opportunities that are undervalued based on an assessment of the underlying fundamentals.

Grade (RS Rating)

Last Trade

$26.32

Average Daily Volume

21,731

Number of Holdings *

27

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

Schwab US Aggregate Bond ETF

SCHZ Description The investment seeks to track as closely as possible, before fees and expenses, the total return of the Barclays U.S. Aggregate Bond IndexSM. The fund invests at least 90% of its net assets in securities included in the index. The index is a broad based benchmark measuring the performance of the U.S. investment grade, taxable bond market, including U.S. Treasuries, government-related and corporate bonds, mortgage pass-through securities, commercial mortgage-backed securities, and asset-backed securities that are publicly available for sale in the United States.

Grade (RS Rating)

Last Trade

$23.15

Average Daily Volume

1,160,765

Number of Holdings *

539

* may have additional holdings in another (foreign) market
Performance
Period SPRX SCHZ
30 Days 8.54% 0.39%
60 Days 14.68% -1.88%
90 Days 16.82% -1.08%
12 Months 40.75% 7.60%
5 Overlapping Holdings
Symbol Grade Weight in SPRX Weight in SCHZ Overlap
APH B 1.37% 0.0% 0.0%
MRVL B 7.27% 0.0% 0.0%
MU D 0.42% 0.0% 0.0%
NVDA C 14.04% 0.0% 0.0%
ROK B 0.0% 0.0% 0.0%
SPRX Overweight 22 Positions Relative to SCHZ
Symbol Grade Weight
S B 8.89%
TSLA B 7.49%
ZS C 6.94%
NET B 6.01%
SNOW C 5.37%
DDOG A 5.25%
CEG D 4.89%
TER F 4.89%
ANET C 4.27%
CRDO B 3.23%
SHOP B 2.48%
CFLT B 2.4%
WOLF F 2.28%
GTLB C 2.18%
COHR C 1.99%
GEV C 1.17%
CRWD B 1.09%
NRG C 0.78%
AMD F 0.7%
AMKR F 0.6%
PANW C 0.19%
RIO D 0.0%
SPRX Underweight 534 Positions Relative to SCHZ
Symbol Grade Weight
WIT A -0.08%
NOW B -0.01%
UHS D -0.01%
CHD B -0.01%
DLTR D -0.01%
MCHP F -0.01%
BIIB F -0.01%
STLA F -0.01%
EDC F -0.01%
CTS B -0.01%
DD D -0.01%
MDT D -0.01%
DT C -0.01%
COO D -0.0%
VLY B -0.0%
OCSL D -0.0%
WBS B -0.0%
GPC D -0.0%
SAN F -0.0%
SIGI B -0.0%
SAVE D -0.0%
GXO B -0.0%
SAFE F -0.0%
EPRT B -0.0%
SUI D -0.0%
VNO B -0.0%
SKT A -0.0%
ALB C -0.0%
CDNS B -0.0%
CBT C -0.0%
COKE C -0.0%
CACC D -0.0%
FAF B -0.0%
TKR D -0.0%
THG C -0.0%
TEL B -0.0%
PRE D -0.0%
AVA B -0.0%
VMI A -0.0%
WRB A -0.0%
TME F -0.0%
FTNT C -0.0%
KMPR B -0.0%
FLO C -0.0%
DAL B -0.0%
NEU C -0.0%
BC C -0.0%
PSEC D -0.0%
STE F -0.0%
CTVA B -0.0%
PWR A -0.0%
GBDC B -0.0%
XRAY F -0.0%
CHH A -0.0%
AIZ B -0.0%
AMH C -0.0%
TSCO C -0.0%
BDN C -0.0%
JD D -0.0%
MHK D -0.0%
LAZ B -0.0%
KEX B -0.0%
EPR D -0.0%
HOG F -0.0%
HP C -0.0%
ROST C -0.0%
SBRA B -0.0%
MCY B -0.0%
NFG B -0.0%
BKU B -0.0%
KMT B -0.0%
CHRW C -0.0%
BBY D -0.0%
SCS B -0.0%
DRI B -0.0%
AVY D -0.0%
INVH D -0.0%
REXR F -0.0%
EA C -0.0%
HR B -0.0%
RS B -0.0%
IDA B -0.0%
AAP C -0.0%
EXP B -0.0%
DXC B -0.0%
DOX D -0.0%
ILMN C -0.0%
XYL D -0.0%
LXP D -0.0%
BCSF B -0.0%
PDM D -0.0%
SLG B -0.0%
SNV B -0.0%
GSBD F -0.0%
ADC B -0.0%
ZION B -0.0%
INGR B -0.0%
NVR D -0.0%
WTRG B -0.0%
OSK B -0.0%
CE F -0.0%
AGO A -0.0%
EG C -0.0%
NHI D -0.0%
TRMB B -0.0%
DOV A -0.0%
SITC D -0.0%
OPI F -0.0%
G B -0.0%
AYI B -0.0%
STLD B -0.0%
OC B -0.0%
CTRA B -0.0%
LNC B -0.0%
MCO A -0.0%
MAIN A -0.0%
MTB B -0.0%
HUBB B -0.0%
CUBE D -0.0%
TPR A -0.0%
JNPR F -0.0%
ORI A -0.0%
H A -0.0%
WEC A -0.0%
VRSN F -0.0%
HII F -0.0%
RPM A -0.0%
SWX B -0.0%
ESGR B -0.0%
OGE A -0.0%
HPP F -0.0%
PNR B -0.0%
EW C -0.0%
VFC C -0.0%
VNT C -0.0%
LII A -0.0%
WB C -0.0%
FMC D -0.0%
FRT A -0.0%
PCAR B -0.0%
PFG C -0.0%
NWE A -0.0%
OGS A -0.0%
FHN B -0.0%
ADI D -0.0%
SWKS F -0.0%
NVT B -0.0%
SNA A -0.0%
NTAP C -0.0%
GL C -0.0%
NNN D -0.0%
RL B -0.0%
URI B -0.0%
EFX D -0.0%
ARW D -0.0%
WU D -0.0%
AGR B -0.0%
AMG B -0.0%
R B -0.0%
AJG A -0.0%
L B -0.0%
SPGI C -0.0%
ESS B -0.0%
DGX B -0.0%
HAS D -0.0%
AWH F -0.0%
ORLY B -0.0%
AN B -0.0%
RNR C -0.0%
PHM C -0.0%
PSA C -0.0%
PVH C -0.0%
BEN C -0.0%
SF B -0.0%
AXS A -0.0%
MOS F -0.0%
JBLU F -0.0%
CTAS B -0.0%
UNM A -0.0%
VMC B -0.0%
HIW D -0.0%
DSS F -0.0%
PPG D -0.0%
FNF B -0.0%
AES F -0.0%
AMCR D -0.0%
LEN C -0.0%
MKL A -0.0%
ADP B -0.0%
HRL D -0.0%
APD A -0.0%
REG B -0.0%
IPG C -0.0%
GP F -0.0%
EMR A -0.0%
RF B -0.0%
EE B -0.0%
PLD D -0.0%
SWK D -0.0%
BR A -0.0%
EVRG A -0.0%
IEX B -0.0%
FLS A -0.0%
AFG A -0.0%
CMA A -0.0%
WHR B -0.0%
ALLE D -0.0%
LEG D -0.0%
HRB D -0.0%
CNO A -0.0%
CNH A -0.0%
KSS F -0.0%
DOC C -0.0%
KRG B -0.0%
WM A -0.0%
BWA C -0.0%
EL F -0.0%
CMI A -0.0%
MKC D -0.0%
BAX F -0.0%
IVZ B -0.0%
WLK D -0.0%
CBOE B -0.0%
JBL C -0.0%
LDOS D -0.0%
NDAQ A -0.0%
HST C -0.0%
FLEX B -0.0%
KRC C -0.0%
DG F -0.0%
AFL B -0.0%
RJF A -0.0%
DHI D -0.0%
CNA B -0.0%
RGA A -0.0%
CPT B -0.0%
NOV C -0.0%
GLPI B -0.0%
MAA B -0.0%
LHX C -0.0%
MRO B -0.0%
MSI C -0.0%
AMP B -0.0%
DLR A -0.0%
JBHT C -0.0%
LIN D -0.0%
A D -0.0%
SON D -0.0%
ARE D -0.0%
FSK A -0.0%
REGN F -0.0%
CSL B -0.0%
BRO B -0.0%
PKG B -0.0%
FTV B -0.0%
WPC D -0.0%
WEST C -0.0%
HIG B -0.0%
VOYA B -0.0%
LEA F -0.0%
TXT D -0.0%
EMN D -0.0%
INTU C -0.0%
MDLZ F -0.0%
SNX C -0.0%
FIS D -0.0%
VTR D -0.0%
AVT C -0.0%
HUN F -0.0%
SCHW A -0.0%
CINF A -0.0%
CNP A -0.0%
CL D -0.0%
LRCX F -0.0%
BKH B -0.0%
WAB B -0.0%
PH A -0.0%
TMO F -0.0%
EQR B -0.0%
CFG B -0.0%
MAR A -0.0%
AAL B -0.0%
HSY F -0.0%
MAS C -0.0%
RPRX D -0.0%
SRE A -0.0%
CME A -0.0%
IP B -0.0%
ECL D -0.0%
VRSK A -0.0%
SYF A -0.0%
EBAY C -0.0%
LNT A -0.0%
NEM F -0.0%
LYB F -0.0%
MLM B -0.0%
NTRS A -0.0%
TDY B -0.0%
CMS C -0.0%
BSX C -0.0%
PPL B -0.0%
LLY F -0.0%
CF B -0.0%
EOG C -0.0%
OTIS C -0.0%
IFF D -0.0%
ACGL D -0.0%
APTV F -0.0%
JCI C -0.0%
XEL A -0.0%
BIDU F -0.0%
KIM A -0.0%
HBAN B -0.0%
DE B -0.0%
DHR D -0.0%
AON A -0.0%
MCK C -0.0%
O D -0.0%
AEP D -0.0%
GLW B -0.0%
NUE D -0.0%
SJM D -0.0%
OMC C -0.0%
ETR B -0.0%
OKE C -0.0%
ROP B -0.0%
BLK C -0.0%
KR A -0.0%
KLAC F -0.0%
CAH B -0.0%
LUV B -0.0%
TT B -0.0%
MPC F -0.0%
CCI D -0.0%
GD F -0.0%
ALL B -0.0%
CPB D -0.0%
NKE F -0.0%
HES C -0.0%
ATO A -0.0%
PEG A -0.0%
CAF D -0.0%
ADBE C -0.0%
TJX A -0.0%
ZTS D -0.0%
STZ D -0.0%
FE D -0.0%
NXPI D -0.0%
JEF A -0.0%
UPS C -0.0%
NSC A -0.0%
CP D -0.0%
PG A -0.0%
BKNG B -0.0%
ICE D -0.0%
BERY B -0.0%
CAG D -0.0%
AMAT F -0.0%
BRX A -0.0%
KDP D -0.0%
TGT F -0.0%
FITB B -0.0%
SHW A -0.0%
GWW A -0.0%
CLX C -0.0%
LVS C -0.0%
STT A -0.0%
GPN C -0.0%
DVN F -0.0%
BHF B -0.0%
SLB C -0.0%
WY D -0.0%
PGR A -0.0%
ES D -0.0%
WELL C -0.0%
FANG F -0.0%
ARCC A -0.0%
ZBH C -0.0%
AVB B -0.0%
SCCO F -0.0%
HUM C -0.0%
WBA D -0.0%
RSG A -0.0%
OHI D -0.0%
EIX A -0.0%
AWK D -0.0%
KMB C -0.0%
BG F -0.0%
COE C -0.0%
PAA B -0.0%
MMM D -0.0%
MA B -0.0%
KOF F -0.0%
MMC A -0.0%
UDR B -0.0%
DTE C -0.0%
SYY C -0.0%
EQIX A -0.0%
KEYS B -0.0%
HON B -0.0%
PYPL A -0.0%
BMO A -0.0%
BNS A -0.0%
TXN D -0.0%
AZO C -0.0%
EPD B -0.0%
AL A -0.0%
CSX B -0.0%
SPG C -0.0%
COST B -0.0%
DOW F -0.0%
NI A -0.0%
SBUX B -0.0%
BXP D -0.0%
CARR C -0.0%
TAP C -0.0%
TRV B -0.0%
PNC A -0.0%
HAL C -0.0%
FDX B -0.0%
HPQ B -0.0%
PNW B -0.0%
PEP F -0.0%
CM A -0.0%
ITW A -0.0%
VLO C -0.0%
BDX F -0.0%
DB D -0.0%
MPLX B -0.0%
FOXA C -0.0%
USB A -0.0%
LOW C -0.0%
D C -0.0%
GIS D -0.0%
ADSK B -0.0%
MP A -0.0%
RY B -0.0%
TSN B -0.0%
DUK C -0.0%
SO D -0.0%
NEE D -0.0%
CRM B -0.0%
ED D -0.0%
UNP C -0.0%
EQH B -0.0%
CB D -0.0%
PRU A -0.0%
WMB B -0.0%
ETN A -0.0%
AEE A -0.0%
EXPE B -0.0%
NOC D -0.0%
AMT D -0.0%
AXP A -0.0%
ADM F -0.0%
PSX C -0.0%
LH B -0.0%
AIG B -0.0%
TFC B -0.0%
K A -0.0%
SYK C -0.0%
GOOGL C -0.0%
MET A -0.0%
KMI B -0.0%
AER A -0.0%
QCOM F -0.0%
HCA F -0.0%
BABA D -0.0%
GM B -0.0%
UAL B -0.0%
UNH B -0.0%
PM B -0.0%
ALLY C -0.0%
LMT D -0.0%
BK A -0.0%
EXC D -0.0%
PFE D -0.0%
DIS B -0.0%
EQNR D -0.0%
MUFG B -0.0%
CAT B -0.0%
KO D -0.0%
KEY A -0.0%
MO A -0.0%
NWG C -0.0%
DFS B -0.0%
MCD D -0.0%
INTC C -0.0%
JNJ D -0.0%
BHP F -0.0%
GILD B -0.0%
RTX D -0.0%
XOM C -0.0%
PCG B -0.0%
CVX B -0.0%
CSCO A -0.0%
TD F -0.0%
AMZN C -0.0%
HPE B -0.0%
MRK F -0.0%
WMT B -0.0%
COP D -0.0%
AVGO D -0.0%
VOD D -0.0%
HSBC B -0.0%
IBM C -0.0%
CI D -0.0%
ORCL C -0.0%
C A -0.0%
AMGN D -0.0%
GSK F -0.0%
JPM B -0.0%
BMY B -0.0%
ABT B -0.0%
VZ B -0.0%
V A -0.0%
COF B -0.0%
HD A -0.0%
MS B -0.0%
CMCSA C -0.0%
CHTR C -0.0%
DELL C -0.0%
AZN F -0.0%
AAPL B -0.0%
MSFT D -0.0%
BAC A -0.0%
ABBV D -0.0%
TMUS A -0.0%
BA D -0.0%
WFC A -0.0%
GS B -0.0%
CVS D -0.0%
GE D -0.0%
T A -0.0%
Compare ETFs