TMFS vs. QABA ETF Comparison

Comparison of Motley Fool Small-Cap Growth ETF (TMFS) to First Trust NASDAQ ABA Community Bank Index Fund (QABA)
TMFS

Motley Fool Small-Cap Growth ETF

TMFS Description

The RBB Fund, Inc. - MFAM Small-Cap Growth ETF is an exchange traded fund launched and managed by Motley Fool Asset Management, LLC. The fund invests in public equity markets of the United States. The fund invests in stocks of companies operating across diversified sectors. It invests in growth stocks of small-cap companies, within the market capitalization range of the Russell 2000 Growth Index. It employs fundamental and quantitative analysis to create its portfolio. The RBB Fund, Inc. - MFAM Small-Cap Growth ETF was formed on October 29, 2018 and is domiciled in the United States.

Grade (RS Rating)

Last Trade

$31.34

Average Daily Volume

8,662

Number of Holdings *

34

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

First Trust NASDAQ ABA Community Bank Index Fund

QABA Description The investment seeks investment results that correspond generally to the price and yield (before the fund's fees and expenses) of an equity index called the NASDAQ OMX(R) ABA Community Bank Index(SM). The fund will normally invest at least 90% of its net assets plus the amount of any borrowings for investment purposes in common stocks that comprise the index. For the purposes of the index, a "community bank" is considered to be all U.S.banks and thrifts or their holding companies listed on NASDAQ(R), excluding the 50 largest U.S. banks by asset size. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$46.18

Average Daily Volume

11,234

Number of Holdings *

124

* may have additional holdings in another (foreign) market
Performance
Period TMFS QABA
30 Days 1.28% 2.15%
60 Days 2.89% 0.08%
90 Days 1.56% 3.56%
12 Months 9.29% 17.28%
0 Overlapping Holdings
Symbol Grade Weight in TMFS Weight in QABA Overlap
TMFS Overweight 34 Positions Relative to QABA
Symbol Grade Weight
ALRM D 4.78%
GMED B 4.68%
WSO B 3.84%
TOST B 3.81%
AXON C 3.75%
HQY B 3.65%
GSHD D 3.64%
NARI C 3.54%
SMAR B 3.5%
GNTX C 3.48%
NOG C 3.21%
SNEX C 3.2%
RXO B 3.17%
GXO D 3.13%
RARE D 2.87%
UFPT B 2.76%
HRI D 2.62%
LOB C 2.61%
QTWO C 2.6%
FOXF C 2.57%
STAG B 2.48%
IPGP D 2.41%
PEN F 2.41%
NCNO B 2.28%
BRBR C 2.21%
SITM B 2.17%
MODG D 2.07%
RAMP C 1.94%
LSTR B 1.86%
CROX B 1.8%
TREX F 1.64%
CERT D 1.59%
WOLF F 1.48%
DV D 0.96%
TMFS Underweight 124 Positions Relative to QABA
Symbol Grade Weight
CBSH C -4.39%
WTFC C -3.66%
OZK D -2.8%
UBSI C -2.67%
FFIN C -2.57%
HWC C -2.49%
UMBF C -2.48%
IBOC C -2.17%
TFSL C -2.16%
ABCB B -2.1%
FULT C -1.88%
UCBI C -1.86%
BANF C -1.77%
FIBK C -1.73%
TCBI C -1.72%
WSFS A -1.71%
CATY C -1.69%
FHB C -1.62%
CVBF B -1.47%
WAFD C -1.39%
PPBI C -1.34%
SFNC C -1.33%
FFBC C -1.29%
INDB D -1.26%
TOWN C -1.25%
SBCF C -1.22%
TBBK B -1.17%
FRME C -1.17%
IBTX B -1.14%
MBIN C -1.12%
TRMK C -1.11%
NBTB B -1.1%
BANR B -1.03%
WSBC C -1.0%
CHCO B -0.97%
CLBK D -0.95%
LKFN C -0.94%
EFSC B -0.91%
SYBT B -0.9%
NWBI B -0.89%
CASH B -0.88%
BUSE B -0.82%
SRCE B -0.79%
FBNC C -0.79%
HOPE C -0.78%
WABC C -0.78%
TCBK B -0.78%
STBA B -0.77%
VBTX B -0.7%
SASR B -0.66%
GABC A -0.65%
PEBO C -0.65%
PFBC C -0.61%
QCRH B -0.6%
OCFC B -0.55%
RBCAA C -0.54%
BFC B -0.51%
AMAL B -0.5%
SBSI C -0.5%
DCOM B -0.48%
BRKL C -0.47%
CTBI C -0.47%
FMBH C -0.47%
BHRB F -0.46%
CFFN B -0.45%
PFC C -0.44%
CNOB C -0.43%
CFB B -0.42%
FCBC B -0.41%
OSBC B -0.4%
UVSP A -0.4%
GSBC B -0.39%
MBWM B -0.39%
HFWA D -0.38%
CCB B -0.37%
CASS D -0.34%
EGBN D -0.34%
HBNC C -0.33%
TRST B -0.33%
IBCP B -0.33%
BFST C -0.33%
HTBI A -0.31%
HTBK B -0.31%
MSBI C -0.3%
HAFC B -0.3%
HONE B -0.3%
FSBC B -0.3%
SMBC B -0.3%
CCBG B -0.29%
CAC B -0.29%
FMNB C -0.28%
WASH B -0.28%
NBN A -0.28%
SPFI C -0.27%
THFF C -0.26%
AROW B -0.26%
NFBK C -0.25%
CCNE B -0.25%
HIFS C -0.24%
PGC C -0.24%
ESQ C -0.24%
SHBI C -0.23%
KRNY C -0.23%
MPB C -0.22%
FFIC B -0.22%
RBB C -0.21%
MOFG B -0.21%
CARE B -0.21%
NEWT C -0.19%
BWB C -0.19%
NRIM B -0.19%
BSRR A -0.19%
EBTC D -0.18%
TCBX C -0.17%
FISI B -0.17%
ORRF B -0.17%
BMRC C -0.16%
FRST C -0.15%
BCAL D -0.15%
NECB A -0.15%
WSBF B -0.15%
FLIC C -0.14%
INBK C -0.14%
CZFS D -0.0%
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