TDIV vs. IGV ETF Comparison

Comparison of First Trust NASDAQ Technology Dividend Index Fund (TDIV) to iShares Expanded Tech-Software Sector ETF (IGV)
TDIV

First Trust NASDAQ Technology Dividend Index Fund

TDIV Description

The investment seeks investment results that correspond generally to the price and yield of an equity index called the NASDAQ Technology Dividend Index. The fund will normally invest at least 90% of its net assets (plus the amount of any borrowings for investment purposes) in the common stocks and/or depositary receipts included in the index. The index is owned and was developed by NASDAQ(R) (the "Index Provider"). The index is calculated and maintained by the index Provider. The index includes up to 100 Technology and Telecommunications companies that pay a regular or common dividend. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$79.48

Average Daily Volume

98,468

Number of Holdings *

79

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

iShares Expanded Tech-Software Sector ETF

IGV Description The investment seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the S&P North American Technology Software IndexTM (the "underlying index"). The fund generally invests at least 90% of its assets in securities of the underlying index and in depositary receipts representing securities of the underlying index. The underlying index measures the performance of U.S.-traded stocks of software-related companies in the United States and Canada. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$105.14

Average Daily Volume

3,654,633

Number of Holdings *

109

* may have additional holdings in another (foreign) market
Performance
Period TDIV IGV
30 Days -2.31% 11.95%
60 Days -0.35% 15.82%
90 Days 3.52% 20.30%
12 Months 32.60% 36.11%
10 Overlapping Holdings
Symbol Grade Weight in TDIV Weight in IGV Overlap
ATEN A 0.04% 0.04% 0.04%
DLB B 0.12% 0.15% 0.12%
GEN B 0.59% 0.57% 0.57%
IDCC B 0.14% 0.16% 0.14%
INTU B 1.89% 4.13% 1.89%
MSFT D 8.0% 7.19% 7.19%
ORCL A 9.36% 8.34% 8.34%
PRGS B 0.06% 0.1% 0.06%
ROP C 0.54% 2.12% 0.54%
YOU D 0.05% 0.09% 0.05%
TDIV Overweight 69 Positions Relative to IGV
Symbol Grade Weight
AVGO D 8.18%
IBM C 8.08%
TXN C 7.32%
TSM C 4.02%
QCOM F 3.66%
ADI D 2.7%
TMUS B 2.34%
CSCO B 2.24%
T A 2.19%
CMCSA B 2.15%
MSI A 1.94%
VZ C 1.91%
GLW B 1.82%
AMAT F 1.79%
HPQ B 1.79%
LRCX F 1.6%
NXPI F 1.53%
MCHP F 1.27%
HPE B 1.24%
CTSH B 1.03%
KLAC F 1.01%
ASML F 1.0%
DELL C 0.99%
STX D 0.98%
APH B 0.95%
UI A 0.7%
NTAP C 0.68%
CCOI B 0.57%
SWKS F 0.56%
CDW F 0.44%
OTEX F 0.41%
INFY C 0.4%
SSNC C 0.39%
LDOS C 0.36%
DOX D 0.35%
SAP A 0.27%
LOGI F 0.26%
NOK D 0.26%
KT A 0.23%
MPWR F 0.23%
ERIC B 0.22%
CABO B 0.21%
ATHM C 0.21%
SNX C 0.21%
PAYC B 0.2%
IRDM F 0.2%
AVT C 0.18%
XRX F 0.16%
DNB A 0.15%
VIV D 0.13%
SAIC F 0.12%
TEF C 0.11%
KBR F 0.11%
AMKR F 0.1%
OLED F 0.1%
KLIC C 0.08%
CSGS B 0.07%
VSH F 0.07%
POWI D 0.07%
CNXC F 0.07%
SIMO D 0.07%
SSTK F 0.06%
BHE B 0.05%
SPNS F 0.04%
STM F 0.03%
CNXN D 0.02%
TKC B 0.02%
HCKT B 0.02%
SLP F 0.01%
TDIV Underweight 99 Positions Relative to IGV
Symbol Grade Weight
CRM B -9.42%
NOW B -7.13%
ADBE D -6.5%
PANW A -4.35%
PLTR B -4.17%
SNPS C -2.94%
CDNS B -2.91%
CRWD B -2.79%
ADSK A -2.31%
APP B -2.13%
FTNT B -2.1%
WDAY C -2.02%
MSTR B -2.0%
FICO A -1.99%
DDOG A -1.43%
TEAM B -1.39%
EA A -1.38%
HUBS A -1.25%
TTWO A -1.04%
ANSS B -1.04%
TYL B -0.92%
PTC B -0.8%
ZM B -0.76%
ZS C -0.68%
NTNX B -0.61%
MANH D -0.6%
DOCU B -0.58%
GWRE A -0.57%
DT D -0.56%
SNAP D -0.4%
IOT A -0.36%
BILL A -0.3%
S C -0.28%
PCOR C -0.27%
ESTC C -0.27%
SMAR A -0.27%
BSY D -0.26%
CVLT A -0.26%
GTLB B -0.25%
CFLT B -0.25%
DBX C -0.23%
AZPN A -0.23%
SPSC D -0.23%
MARA B -0.22%
ALTR B -0.22%
VRNS D -0.21%
QTWO A -0.21%
CWAN B -0.2%
PATH C -0.2%
ACIW B -0.2%
AUR C -0.19%
APPF C -0.19%
U C -0.19%
QLYS C -0.19%
HCP B -0.18%
WK C -0.17%
CCCS B -0.17%
TENB D -0.17%
BOX B -0.17%
PEGA B -0.14%
NCNO B -0.13%
BLKB C -0.12%
CLSK C -0.12%
ZETA D -0.12%
RNG C -0.11%
BL C -0.11%
RIOT C -0.11%
INTA A -0.1%
DV C -0.1%
TDC D -0.1%
AI B -0.1%
FIVN C -0.1%
FRSH C -0.1%
ALRM C -0.1%
VERX A -0.09%
RPD C -0.09%
ENV B -0.09%
AGYS A -0.09%
BRZE C -0.08%
ALKT B -0.08%
PD C -0.07%
RAMP C -0.07%
VYX B -0.07%
AVPT A -0.06%
MTTR B -0.05%
ZUO B -0.05%
SPT C -0.05%
VRNT D -0.05%
APPN C -0.05%
PRO C -0.04%
ASAN C -0.04%
ADEA D -0.04%
SWI B -0.03%
NABL F -0.03%
CXM C -0.03%
JAMF F -0.03%
SEMR C -0.02%
MLNK C -0.02%
ETWO F -0.02%
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