TAGS vs. FNK ETF Comparison

Comparison of Teucrium Agricultural Fund ETV (TAGS) to First Trust Mid Cap Value AlphaDEX Fund (FNK)
TAGS

Teucrium Agricultural Fund ETV

TAGS Description

The Teucrium Agricultural Fund (NYSE: TAGS) provides investors exposure to four core agricultural commodities, namely, corn, wheat, soybeans, and sugar, without the need for a futures account. TAGS invests directly in shares of the following four Teucrium Funds: Teucrium Corn Fund, Teucrium Soybean Fund, Teucrium Sugar Fund and Teucrium Wheat Fund (the “Underlying Funds”). The Underlying Funds were designed to reduce the effects of backwardation and contango. The investment objective of the Fund is to have the daily changes in percentage terms of the Shares’ NAV reflect the daily changes in percentage terms of a weighted average (the “Underlying Fund Average”) of the NAVs per share of the Underlying Funds. The Fund seeks to achieve its investment objective by investing under normal market conditions in the publicly-traded shares of each Underlying Fund so that the Underlying Fund Average will have a weighting of 25% to each Underlying Fund, and the Fund’s assets will be rebalanced, generally on a daily basis, to maintain the approximate 25% allocation to each Underlying Fund.

Grade (RS Rating)

Last Trade

$28.15

Average Daily Volume

3,044

Number of Holdings *

4

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

First Trust Mid Cap Value AlphaDEX Fund

FNK Description The investment seeks results that correspond generally to the price and yield (before the fund's fees and expenses) of an equity index called the Defined Mid Cap Value Index. The fund will normally invest at least 90% of its net assets in common stocks that comprise the index. The index is a modified equal-dollar weighted index designed by S&P to objectively identify and select stocks from the S&P MidCap 400(R) Value Index that may generate positive alpha relative to traditional passive-style indices through the use of the AlphaDEX(R) selection methodology. It is non-diversified.

Grade (RS Rating)

Last Trade

$53.49

Average Daily Volume

18,296

Number of Holdings *

222

* may have additional holdings in another (foreign) market
Performance
Period TAGS FNK
30 Days 4.80% 6.79%
60 Days 0.93% 4.51%
90 Days 1.61% 6.84%
12 Months -5.21% 26.93%
0 Overlapping Holdings
Symbol Grade Weight in TAGS Weight in FNK Overlap
TAGS Overweight 4 Positions Relative to FNK
Symbol Grade Weight
CORN D 25.35%
SOYB D 25.04%
WEAT C 24.91%
CANE F 24.68%
TAGS Underweight 222 Positions Relative to FNK
Symbol Grade Weight
AIRC A -0.89%
LBRT A -0.82%
RRC B -0.81%
AVT B -0.79%
NFG B -0.79%
FMC C -0.79%
MTH B -0.78%
GPI B -0.78%
SEB D -0.78%
IAC C -0.78%
WTM D -0.78%
CHRD C -0.77%
SM D -0.77%
NOG D -0.77%
MATX C -0.76%
VAL B -0.75%
KBH B -0.75%
CHK B -0.75%
CMC B -0.74%
NOV D -0.74%
OVV D -0.74%
MUR D -0.74%
ESGR B -0.74%
AL C -0.73%
ARW C -0.73%
MTDR D -0.73%
JXN B -0.72%
TMHC B -0.72%
DINO D -0.72%
SIG C -0.72%
ABG C -0.72%
RNR C -0.72%
RDN C -0.71%
AGCO F -0.71%
MTG C -0.71%
ESNT C -0.71%
UTHR A -0.7%
HP F -0.7%
PTEN F -0.7%
BTU F -0.69%
AGO D -0.69%
MOS F -0.69%
APA F -0.68%
MHO C -0.68%
CNXC D -0.68%
MLI C -0.66%
LAD F -0.66%
COOP B -0.65%
PBF D -0.65%
BWA C -0.65%
R B -0.64%
OGE A -0.64%
POR C -0.64%
WIRE C -0.64%
ADTN D -0.63%
EVRG C -0.63%
OZK C -0.63%
SANM B -0.63%
FYBR B -0.63%
BKH C -0.63%
ALE B -0.63%
TPH B -0.62%
COLB C -0.62%
CADE C -0.61%
MDU B -0.61%
SON B -0.61%
MGY C -0.61%
DAR D -0.6%
ONB B -0.6%
OGS C -0.6%
AN C -0.6%
G D -0.59%
VLY D -0.59%
ALLY B -0.59%
UNM B -0.59%
BERY D -0.59%
AMG D -0.57%
KRC C -0.57%
TEX C -0.57%
URBN C -0.57%
AR A -0.54%
LEA F -0.54%
LBRDK D -0.54%
TAP F -0.53%
RUSHA D -0.52%
ASO F -0.51%
CVI F -0.5%
SNX A -0.49%
OGN B -0.49%
DTM A -0.48%
BYD F -0.48%
FHN B -0.47%
NXST C -0.47%
ABCB C -0.47%
PNW B -0.47%
HWC C -0.47%
HOG D -0.47%
NI B -0.47%
EMN C -0.46%
AMKR C -0.46%
BOKF B -0.46%
ALK C -0.46%
ZION B -0.46%
ENS C -0.46%
WCC C -0.46%
CUZ C -0.45%
FNB B -0.45%
IPGP D -0.45%
WAL C -0.45%
OMF C -0.45%
WTFC B -0.44%
UFPI C -0.44%
UHS B -0.44%
CMA B -0.44%
GMS D -0.44%
M D -0.44%
CAR D -0.44%
WU D -0.43%
OLN C -0.43%
OSK D -0.43%
PAG C -0.43%
DXC F -0.42%
JAZZ F -0.42%
DDS C -0.41%
WBS D -0.41%
KNX F -0.4%
BCC D -0.4%
PII F -0.39%
ATKR F -0.38%
TPR D -0.38%
CZR F -0.38%
KEX A -0.37%
PVH D -0.37%
CLF F -0.35%
SEM B -0.33%
SKX B -0.33%
IDA C -0.32%
LFUS C -0.32%
AXS A -0.32%
ORI A -0.31%
BPOP B -0.31%
IP B -0.31%
COLM B -0.31%
LNT B -0.31%
NJR C -0.31%
DNB C -0.31%
SAIC C -0.31%
TKR C -0.31%
WTRG C -0.31%
SNV B -0.3%
ASH A -0.3%
SLM D -0.3%
HOMB B -0.3%
SWX A -0.3%
GT D -0.29%
SSB C -0.29%
ASGN C -0.29%
BECN C -0.29%
SEIC D -0.29%
HUN C -0.29%
UBSI C -0.29%
PRGO F -0.29%
SLGN C -0.29%
PB C -0.29%
BBWI B -0.29%
CROX C -0.29%
PNFP C -0.29%
EWBC B -0.29%
CACC F -0.29%
HGV D -0.28%
UMBF B -0.28%
THO F -0.27%
RYN F -0.27%
BXMT F -0.27%
HII D -0.26%
BC F -0.26%
WHR F -0.24%
GMED B -0.18%
THC B -0.18%
NYCB D -0.17%
CRUS B -0.17%
CACI B -0.17%
LPX B -0.16%
JEF A -0.16%
EHC C -0.16%
AVNT B -0.16%
CCK C -0.16%
SF B -0.16%
RGA A -0.16%
HSIC C -0.15%
AGNC A -0.15%
GXO D -0.15%
CIEN C -0.15%
AYI C -0.15%
FUL B -0.15%
JLL B -0.15%
MMS B -0.15%
SEE C -0.15%
USFD B -0.15%
REYN B -0.15%
BJ B -0.15%
PFSI B -0.15%
SIGI F -0.14%
TFX D -0.14%
SUM D -0.14%
FAF D -0.14%
IVZ C -0.14%
BXP C -0.14%
LANC D -0.14%
LSTR C -0.14%
SKY C -0.14%
AEO D -0.14%
AIZ D -0.14%
AFG B -0.14%
GPS D -0.13%
MIDD F -0.13%
VNO F -0.13%
DKS D -0.13%
RHI F -0.13%
PENN F -0.13%
NEOG F -0.12%
GL F -0.11%
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