TRFM vs. YLD ETF Comparison

Comparison of AAM Transformers ETF (TRFM) to Principal Exchange-Traded Funds Principal EDGE Active Income ETF (YLD)
TRFM

AAM Transformers ETF

TRFM Description

AAM Transformers ETF is an exchange traded fund launched by ETF Series Solutions. The fund is co-managed by Advisors Asset Management, Inc. and Vident Investment Advisory, LLC. It invests in public equity markets of the United States. It invests in stocks of companies operating across aerospace & defense, electronic components, IT consulting & other services, alternative carriers, electronic equipment & instruments, oil & gas refining & marketing, application software, heavy electrical equipment, independent power and renewable electricity producers, automobile manufacturers, hotels, resorts & cruise lines and leisure, semiconductors and semiconductor equipment, communications equipment, industrial machinery, consumer electronics, interactive home entertainment, specialty chemicals, copper, interactive media & services, systems software, data processing & outsourced services, internet & direct marketing retail, technology hardware and equipment, storage & peripherals, electrical components & equipment, internet services & infrastructure, trucking, communication services, media and entertainment, telecommunication services, diversified telecommunication services, consumer discretionary, automobiles and components, consumer durables and apparel, household durables, consumer services, retailing, energy, oil, gas and consumable fuels, industrials, capital goods, machinery, transportation, road and rail, information technology, software and services, IT services, materials, chemicals, metals and mining, and utilities sectors. The fund invests in growth and value stocks of companies across diversified market capitalization. The fund seeks to track the performance of the Pence Transformers Index, by using full replication technique. AAM Transformers ETF is domiciled in the United States.

Grade (RS Rating)

Last Trade

$34.49

Average Daily Volume

3,157

Number of Holdings *

174

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

Principal Exchange-Traded Funds Principal EDGE Active Income ETF

YLD Description The investment seeks to provide current income. The fund is an actively managed exchange-traded fund ("ETF") that seeks to achieve its investment objective by investing, under normal circumstances, its assets in investment grade and non-investment grade fixed income securities (commonly known as "junk bonds") and in equity securities. The fund's Sub-Advisors, actively and tactically allocates the fund's assets among fixed income securities and equity securities in an effort to take advantage of changing economic conditions that Edge believes favors one asset class over another.

Grade (RS Rating)

Last Trade

$19.48

Average Daily Volume

62,154

Number of Holdings *

56

* may have additional holdings in another (foreign) market
Performance
Period TRFM YLD
30 Days 2.80% 1.22%
60 Days 12.06% 3.29%
90 Days -0.47% 4.04%
12 Months 28.41% 16.06%
3 Overlapping Holdings
Symbol Grade Weight in TRFM Weight in YLD Overlap
AAPL C 0.89% 0.88% 0.88%
NDSN B 0.29% 0.48% 0.29%
SAP C 0.57% 0.31% 0.31%
TRFM Overweight 171 Positions Relative to YLD
Symbol Grade Weight
AVGO C 1.11%
TSLA B 1.05%
NVDA C 1.04%
AMD D 1.04%
ORCL C 1.01%
ETN C 1.0%
VST A 0.98%
META A 0.98%
AMZN C 0.97%
CRM C 0.97%
UBER C 0.96%
IBM C 0.95%
APP B 0.94%
MSFT C 0.93%
NOW C 0.93%
GOOGL C 0.92%
TXN C 0.9%
MA A 0.89%
INTU F 0.89%
PANW D 0.88%
V C 0.83%
ADBE F 0.79%
GEV A 0.78%
ANET B 0.75%
SMCI F 0.72%
FSLR C 0.7%
CRWD D 0.7%
DASH B 0.7%
MPWR C 0.69%
ABNB D 0.69%
IOT C 0.68%
ARM C 0.68%
CPNG C 0.68%
STX B 0.67%
TDG A 0.67%
FICO C 0.67%
MU D 0.67%
AXON A 0.67%
HWM A 0.66%
APH D 0.66%
RBLX C 0.66%
LRCX F 0.66%
ZS F 0.66%
SE A 0.66%
NET D 0.66%
CDNS D 0.66%
SNPS F 0.66%
KLAC D 0.66%
PDD D 0.66%
PINS D 0.66%
HUBS D 0.65%
ADSK C 0.65%
MRVL C 0.65%
FTV B 0.65%
DDOG D 0.65%
HEI C 0.64%
EMR B 0.64%
SQ D 0.64%
SHOP C 0.64%
SNOW F 0.63%
AME D 0.63%
TSM C 0.63%
FTNT C 0.62%
CPAY A 0.61%
MDB D 0.6%
TYL C 0.6%
MELI C 0.59%
ASML F 0.59%
ABBV A 0.59%
GFS F 0.59%
WDAY D 0.58%
TTWO F 0.58%
BA F 0.58%
TCOM B 0.58%
TEAM D 0.55%
ACN B 0.54%
RKLB B 0.42%
PI B 0.38%
LI C 0.37%
COHR B 0.37%
SITM B 0.36%
XPEV C 0.35%
SMTC C 0.34%
AES B 0.34%
LYFT D 0.34%
MARA F 0.34%
CRDO C 0.34%
BILI A 0.34%
SNAP D 0.34%
TOST B 0.33%
GRAB B 0.33%
LITE C 0.33%
FLNC C 0.33%
MNDY C 0.33%
ZETA B 0.33%
GDS B 0.33%
RDDT C 0.33%
AFRM C 0.32%
BMI A 0.32%
FOUR B 0.32%
AI F 0.32%
NIO C 0.32%
NVT D 0.32%
HUBB A 0.32%
ITT B 0.32%
ONTO C 0.32%
ASX D 0.32%
GLBE C 0.32%
CLSK F 0.32%
ZK C 0.32%
BZ C 0.32%
ERJ C 0.31%
AVAV B 0.31%
S D 0.31%
GTLS F 0.31%
MTSI C 0.31%
PCOR D 0.31%
IPGP D 0.31%
OLED C 0.31%
FROG F 0.3%
GNRC B 0.3%
SMAR A 0.3%
AEIS D 0.3%
WWD B 0.3%
UMC D 0.3%
ALGM F 0.3%
PTC D 0.3%
CWAN C 0.3%
TER D 0.3%
SLAB D 0.3%
CYBR C 0.3%
NTNX D 0.29%
AY B 0.29%
SPSC D 0.29%
BE F 0.29%
AIN D 0.29%
SQSP A 0.29%
RBRK F 0.29%
CLBT C 0.29%
ENS C 0.29%
AMBA C 0.29%
ENTG D 0.29%
POWI F 0.29%
DCI B 0.29%
AGYS D 0.29%
ALKT D 0.29%
DT C 0.29%
EXLS B 0.29%
EVTC D 0.29%
VERX B 0.29%
FORM F 0.29%
APPF C 0.29%
PAY D 0.29%
ORA B 0.29%
SPR D 0.28%
MQ F 0.28%
GLOB D 0.28%
HCP B 0.28%
RUN D 0.28%
CFLT F 0.28%
SYNA F 0.28%
RMBS F 0.28%
CGNX F 0.28%
BILL D 0.27%
DLO F 0.27%
PAGS F 0.27%
GTLB D 0.27%
STNE F 0.27%
FLYW F 0.26%
BRZE F 0.25%
RIVN F 0.23%
TRFM Underweight 53 Positions Relative to YLD
Symbol Grade Weight
CMCSA B -0.86%
IPG C -0.81%
AMAT D -0.78%
KKR C -0.77%
BLK B -0.75%
JPM D -0.72%
MDT A -0.71%
MCHP F -0.71%
HD A -0.67%
TSCO A -0.66%
COST C -0.65%
ABT C -0.64%
SBUX B -0.6%
EWBC D -0.56%
DLR C -0.54%
ARE D -0.53%
MPW C -0.5%
TFX B -0.49%
HON B -0.48%
PKG A -0.47%
APD C -0.47%
DE A -0.45%
MRK F -0.44%
XEL A -0.44%
ALE A -0.43%
CB A -0.42%
BCE C -0.41%
MPC F -0.4%
FNF A -0.4%
PCAR D -0.4%
WEC A -0.39%
PSA C -0.37%
LECO F -0.37%
HRL F -0.37%
EOG D -0.36%
ES A -0.35%
BOH F -0.32%
PFE D -0.3%
MGA D -0.3%
CVX D -0.3%
GOLF F -0.3%
HAS A -0.28%
BR B -0.28%
JNJ C -0.26%
LCII B -0.25%
SNA B -0.25%
TSN D -0.23%
CFR D -0.19%
XOM B -0.09%
USB C -0.09%
COLB C -0.09%
VFC B -0.06%
WASH D -0.02%
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