TMFC vs. WOMN ETF Comparison

Comparison of Motley Fool 100 Index ETF (TMFC) to Impact Shares YWCA Womenas Empowerment ETF (WOMN)
TMFC

Motley Fool 100 Index ETF

TMFC Description

The investment seeks investment results that correspond (before fees and expenses) generally to the total return performance of the Motley Fool 100 Index (the "index"). Under normal circumstances, at least 80% of the fund's total assets (exclusive of any collateral held from securities lending) will be invested in the component securities of the index. The index was established by The Motley Fool in 2017 and is a proprietary, rules-based index designed to track the performance of the 100 largest, most liquid U.S. companies that have been recommended by The Motley Fool's analysts and newsletters. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$59.25

Average Daily Volume

93,836

Number of Holdings *

100

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

Impact Shares YWCA Womenas Empowerment ETF

WOMN Description The investment seeks investment results that, before fees and expenses, track the performance of the Morningstar® Women's Empowerment Index (the "underlying index"). The fund will, under normal circumstances, invest at least 80% of its total assets plus any borrowings for investment purposes (the "80% basket") in component securities of the underlying index. The underlying index is designed to measure the performance of U.S. large and mid- capitalization companies that are "empowering to women," and to exhibit risk and return characteristics similar to those of the Morningstar US Large-Mid Cap ® Index (the "parent index"). The fund is non-diversified.

Grade (RS Rating)

Last Trade

$39.79

Average Daily Volume

1,896

Number of Holdings *

198

* may have additional holdings in another (foreign) market
Performance
Period TMFC WOMN
30 Days 4.41% 2.87%
60 Days 6.07% 2.73%
90 Days 7.71% 5.77%
12 Months 37.47% 26.34%
37 Overlapping Holdings
Symbol Grade Weight in TMFC Weight in WOMN Overlap
AAPL C 9.67% 5.02% 5.02%
ADBE C 0.86% 2.23% 0.86%
ADSK A 0.25% 0.45% 0.25%
AMGN D 0.58% 0.82% 0.58%
AMT D 0.35% 0.49% 0.35%
AMZN C 5.91% 4.47% 4.47%
BIIB F 0.05% 0.13% 0.05%
BMY B 0.44% 0.43% 0.43%
CMI A 0.18% 0.2% 0.18%
CRM B 1.19% 2.27% 1.19%
DASH A 0.26% 0.17% 0.17%
EA A 0.16% 0.16% 0.16%
EBAY D 0.11% 0.29% 0.11%
ECL D 0.26% 0.27% 0.26%
EQIX A 0.33% 0.39% 0.33%
GILD C 0.41% 0.46% 0.41%
INTU C 0.71% 1.56% 0.71%
LLY F 2.57% 3.49% 2.57%
MA C 1.78% 1.77% 1.77%
MCO B 0.32% 0.33% 0.32%
META D 4.0% 4.85% 4.0%
MMM D 0.26% 0.33% 0.26%
MSFT F 8.58% 2.49% 2.49%
NFLX A 1.45% 0.72% 0.72%
NOW A 0.82% 1.42% 0.82%
PGR A 0.56% 0.67% 0.56%
PYPL B 0.32% 0.34% 0.32%
SBUX A 0.42% 1.03% 0.42%
TMUS B 1.06% 0.36% 0.36%
UBER D 0.55% 1.22% 0.55%
UNH C 2.1% 2.47% 2.1%
UNP C 0.53% 0.71% 0.53%
V A 2.22% 1.94% 1.94%
VRTX F 0.44% 0.54% 0.44%
WDAY B 0.26% 0.51% 0.26%
WM A 0.33% 0.37% 0.33%
WMT A 2.65% 0.73% 0.73%
TMFC Overweight 63 Positions Relative to WOMN
Symbol Grade Weight
NVDA C 9.94%
GOOG C 6.04%
TSLA B 4.12%
BRK.A B 3.82%
AVGO D 2.88%
JPM A 2.61%
COST B 1.57%
HD A 1.52%
AMD F 0.86%
ISRG A 0.75%
DIS B 0.72%
BKNG A 0.61%
SCHW B 0.55%
PANW C 0.48%
ANET C 0.45%
NKE D 0.37%
SHW A 0.35%
CTAS B 0.33%
ICE C 0.33%
CRWD B 0.32%
HCA F 0.32%
CME A 0.31%
SNPS B 0.31%
LRCX F 0.3%
MCK B 0.3%
CMG B 0.3%
TDG D 0.29%
MAR B 0.29%
CVS D 0.27%
FDX B 0.26%
FTNT C 0.26%
BDX F 0.24%
DLR B 0.23%
TTD B 0.23%
AFL B 0.23%
TFC A 0.23%
KMI A 0.23%
ROP B 0.22%
FICO B 0.21%
MNST C 0.2%
CPRT A 0.2%
ABNB C 0.19%
SQ B 0.19%
CCI D 0.17%
DDOG A 0.17%
ODFL B 0.17%
NDAQ A 0.17%
CPNG D 0.16%
IT C 0.15%
GLW B 0.15%
SNOW C 0.14%
CTSH B 0.14%
VEEV C 0.13%
IDXX F 0.13%
RMD C 0.13%
CSGP D 0.12%
ZS C 0.11%
RBLX C 0.1%
ZM B 0.09%
MDB C 0.08%
ILMN D 0.06%
DXCM D 0.05%
MRNA F 0.0%
TMFC Underweight 161 Positions Relative to WOMN
Symbol Grade Weight
XOM B -2.53%
MCD D -2.04%
CSCO B -1.92%
ACN C -1.9%
PG A -1.82%
JNJ D -1.82%
IBM C -1.64%
ABBV D -1.55%
CVX A -1.31%
MRK F -1.3%
KO D -1.25%
BAC A -1.25%
PEP F -1.17%
WFC A -0.95%
GE D -0.88%
VZ C -0.82%
INTC D -0.81%
SPGI C -0.7%
AXP A -0.7%
COP C -0.65%
MSI B -0.63%
MS A -0.6%
BLK C -0.6%
ELV F -0.59%
ETN A -0.59%
C A -0.56%
REGN F -0.55%
CI F -0.5%
ADP B -0.5%
GM B -0.49%
MDLZ F -0.47%
F C -0.46%
TEL B -0.43%
UPS C -0.43%
TT A -0.39%
CL D -0.39%
TGT F -0.36%
HPQ B -0.36%
MPWR F -0.36%
YUM B -0.36%
USB A -0.35%
WELL A -0.33%
LULU C -0.29%
DECK A -0.28%
EMR A -0.28%
APD A -0.27%
PSX C -0.26%
CARR D -0.26%
HUBS A -0.26%
NEM D -0.26%
NSC B -0.25%
KEYS A -0.25%
ANSS B -0.25%
FTV C -0.24%
AIG B -0.24%
WMB A -0.24%
COF B -0.24%
D C -0.23%
SRE A -0.23%
AEP D -0.23%
KMB D -0.22%
MET A -0.22%
JCI C -0.22%
BK A -0.22%
TYL B -0.22%
AMP A -0.21%
ALL A -0.21%
RSG A -0.19%
EXC C -0.19%
GIS D -0.19%
GWW B -0.19%
PRU A -0.19%
HPE B -0.19%
PEG A -0.18%
CTVA C -0.18%
PCG A -0.18%
PAYX C -0.18%
VRSK A -0.17%
KR B -0.17%
BKR B -0.17%
DOW F -0.17%
OXY D -0.17%
BBY D -0.16%
KHC F -0.16%
HIG B -0.16%
ED D -0.16%
IR B -0.16%
CBRE B -0.16%
EIX B -0.15%
IRM D -0.15%
ADM D -0.15%
DD D -0.15%
XYL D -0.15%
EXPE B -0.15%
WSM B -0.15%
GPN B -0.14%
ROK B -0.14%
OKTA C -0.14%
VST B -0.14%
CAH B -0.13%
HSY F -0.13%
A D -0.13%
FITB A -0.13%
WTW B -0.13%
PPG F -0.13%
IFF D -0.12%
ETR B -0.12%
DAL C -0.12%
VTR C -0.11%
SCI B -0.11%
EL F -0.11%
STT A -0.11%
TROW B -0.11%
CHD B -0.11%
AWK D -0.11%
RF A -0.1%
RJF A -0.1%
PPL B -0.1%
CMS C -0.09%
SYF B -0.09%
BAX D -0.09%
OMC C -0.09%
BAH F -0.09%
INVH D -0.09%
K A -0.09%
HBAN A -0.09%
BMRN D -0.08%
CNP B -0.08%
KEY B -0.08%
DAY B -0.08%
PFG D -0.08%
PINS D -0.08%
NTRS A -0.08%
ESS B -0.08%
TRU D -0.08%
CLX B -0.08%
SWK D -0.07%
CAG D -0.07%
LNT A -0.07%
OC A -0.07%
LUV C -0.07%
DOC D -0.07%
HST C -0.06%
IPG D -0.06%
SJM D -0.06%
CE F -0.06%
NI A -0.06%
ETSY D -0.06%
PNR A -0.06%
TAP C -0.05%
CPB D -0.05%
REXR F -0.05%
ALB C -0.05%
ELS C -0.05%
Z A -0.04%
CFG B -0.04%
PNW B -0.04%
MTCH D -0.04%
RHI B -0.03%
AGR B -0.01%
ZG A -0.01%
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