TTAC vs. FTHI ETF Comparison

Comparison of TrimTabs Float Shrink ETF (TTAC) to First Trust High Income ETF (FTHI)
TTAC

TrimTabs Float Shrink ETF

TTAC Description

The Fund seeks to generate long-term returns in excess of the total return of the Russell 3000 Index, with less volatility than the Index.

Grade (RS Rating)

Last Trade

$69.38

Average Daily Volume

56,687

Number of Holdings *

143

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

First Trust High Income ETF

FTHI Description The investment seeks current income; capital appreciation is a secondary objective. The fund will pursue its objectives by investing in large cap equity securities listed on U.S. exchanges and by utilizing an "option strategy" consisting of writing (selling) U.S. exchange-traded covered call options on the Standard & Poor's 500(c) Index (the "index"). The market value of the option strategy may be up to 20% of the fund's overall net asset value. The equity securities in which the fund will invest and the options which the fund will write will be limited to U.S. exchange-traded securities and options. It is non-diversified.

Grade (RS Rating)

Last Trade

$23.68

Average Daily Volume

244,323

Number of Holdings *

165

* may have additional holdings in another (foreign) market
Performance
Period TTAC FTHI
30 Days 6.26% 2.96%
60 Days 7.10% 3.94%
90 Days 9.14% 5.68%
12 Months 29.47% 18.62%
33 Overlapping Holdings
Symbol Grade Weight in TTAC Weight in FTHI Overlap
AAPL C 5.95% 5.63% 5.63%
ABBV D 2.35% 0.62% 0.62%
ADBE C 1.46% 0.44% 0.44%
ADP B 1.05% 0.33% 0.33%
AMGN D 0.79% 0.31% 0.31%
BKNG A 1.61% 0.36% 0.36%
BMY B 1.55% 0.48% 0.48%
BRBR A 0.5% 0.77% 0.5%
CL D 1.22% 0.05% 0.05%
CVLT B 0.73% 0.48% 0.48%
FTI A 0.24% 0.34% 0.24%
GILD C 1.49% 0.47% 0.47%
HD A 2.79% 0.88% 0.88%
IBM C 1.53% 0.36% 0.36%
INGR B 0.54% 0.64% 0.54%
INTU C 1.32% 0.43% 0.43%
LMT D 0.83% 0.26% 0.26%
LOW D 1.23% 0.31% 0.31%
MEDP D 0.45% 0.42% 0.42%
META D 1.43% 2.55% 1.43%
MO A 0.68% 0.9% 0.68%
MRK F 0.96% 0.49% 0.49%
MSI B 1.22% 0.17% 0.17%
NFLX A 0.38% 0.72% 0.38%
NOW A 1.67% 0.42% 0.42%
PAYX C 0.59% 0.21% 0.21%
PG A 1.95% 0.79% 0.79%
PM B 1.51% 0.37% 0.37%
PPC C 0.33% 0.41% 0.33%
QCOM F 1.44% 0.32% 0.32%
SLVM B 0.5% 0.35% 0.35%
V A 0.74% 1.01% 0.74%
WSO A 0.49% 0.33% 0.33%
TTAC Overweight 110 Positions Relative to FTHI
Symbol Grade Weight
APP B 2.53%
JNJ D 2.01%
AXP A 1.87%
ACN C 1.76%
PANW C 1.25%
MMM D 1.18%
FTNT C 1.07%
HLT A 0.95%
AGX B 0.9%
ADSK A 0.89%
CRWD B 0.88%
KMB D 0.87%
SYF B 0.85%
MPC D 0.84%
TT A 0.78%
MCO B 0.75%
COF B 0.71%
DOCU A 0.69%
EA A 0.66%
LVS C 0.66%
NKE D 0.65%
EXPE B 0.65%
IT C 0.65%
DFS B 0.65%
MLI C 0.65%
RPM A 0.63%
APOG B 0.61%
TROW B 0.61%
TEAM A 0.61%
FIS C 0.61%
BR A 0.61%
KTB B 0.61%
MAS D 0.59%
HRB D 0.59%
VLO C 0.59%
NTAP C 0.57%
CPAY A 0.56%
BOX B 0.54%
DDOG A 0.54%
LRCX F 0.53%
KLAC D 0.52%
EME C 0.52%
A D 0.51%
PWR A 0.51%
MANH D 0.5%
AMP A 0.49%
PSTG D 0.49%
WSM B 0.49%
APAM B 0.49%
COLM B 0.49%
LDOS C 0.49%
NTNX A 0.46%
WHD B 0.44%
ROL B 0.43%
VRSN F 0.43%
WDAY B 0.42%
FDS B 0.41%
CLX B 0.41%
ZS C 0.4%
UBER D 0.4%
FAST B 0.4%
HALO F 0.39%
CDW F 0.39%
RMD C 0.39%
ZM B 0.39%
TPR B 0.39%
GEN B 0.38%
MTD D 0.38%
DCI B 0.38%
SEIC B 0.37%
MORN B 0.36%
FFIV B 0.36%
MCHP D 0.35%
JKHY D 0.35%
EXPO D 0.34%
OC A 0.33%
HOLX D 0.32%
MSA D 0.32%
DBX B 0.32%
CCK C 0.31%
PEGA A 0.29%
SWKS F 0.29%
LECO B 0.28%
NBIX C 0.28%
CINF A 0.28%
CPNG D 0.28%
CSWI A 0.28%
UFPI B 0.28%
CDNS B 0.26%
MTCH D 0.26%
ANF C 0.26%
PINS D 0.25%
POOL C 0.25%
SMG D 0.24%
PLUS F 0.24%
HAS D 0.23%
CNM D 0.22%
EEFT B 0.21%
MAT D 0.21%
COR B 0.2%
ERIE D 0.18%
ENPH F 0.15%
AFG A 0.15%
CRUS D 0.14%
WFRD D 0.13%
CHX C 0.12%
NYT C 0.11%
QLYS C 0.11%
OMF A 0.1%
DINO D 0.09%
TTAC Underweight 132 Positions Relative to FTHI
Symbol Grade Weight
NVDA C -6.56%
MSFT F -6.53%
AMZN C -3.92%
GOOGL C -2.17%
GOOG C -1.84%
BRK.A B -1.73%
AVGO D -1.65%
BXMT C -1.55%
SLG B -1.44%
JPM A -1.41%
TSLA B -1.36%
LLY F -1.18%
JXN C -1.11%
UNH C -1.08%
XOM B -1.0%
CRNX C -0.99%
CCEP C -0.98%
VST B -0.97%
UL D -0.94%
MA C -0.88%
LADR B -0.87%
COST B -0.83%
CALM A -0.76%
WMT A -0.69%
CRM B -0.65%
PTVE B -0.64%
IDA A -0.59%
BAC A -0.56%
ALSN B -0.53%
ORCL B -0.53%
CCI D -0.53%
WFC A -0.49%
NVS D -0.49%
EXP A -0.48%
SLM A -0.48%
DTM B -0.46%
KO D -0.46%
IDCC A -0.45%
PEP F -0.45%
AMD F -0.45%
TOL B -0.45%
SFM A -0.45%
DELL C -0.45%
MDT D -0.45%
INSM C -0.44%
HLI B -0.44%
EWBC A -0.43%
UMBF B -0.43%
ARES A -0.42%
MMC B -0.42%
ITW B -0.41%
LIN D -0.41%
CAT B -0.41%
DECK A -0.41%
EHC B -0.39%
AM A -0.38%
TMO F -0.38%
USFD A -0.38%
CME A -0.37%
ISRG A -0.37%
TXN C -0.36%
LANC C -0.36%
FNF B -0.35%
VZ C -0.35%
KNSL B -0.35%
GE D -0.35%
T A -0.35%
HESM B -0.34%
SPGI C -0.33%
GS A -0.33%
RTX C -0.33%
SCCO F -0.33%
TJX A -0.32%
MGEE C -0.32%
BAH F -0.31%
HON B -0.31%
DUK C -0.31%
DHR F -0.31%
VEEV C -0.31%
AMAT F -0.31%
KRC C -0.31%
BKU A -0.3%
LOPE B -0.3%
PSA D -0.3%
TMUS B -0.3%
SBRA C -0.3%
MATX C -0.3%
AMT D -0.29%
UNP C -0.29%
GAP C -0.27%
DHT F -0.27%
IIPR D -0.27%
GGG B -0.27%
CVX A -0.26%
NVO D -0.25%
ATR B -0.25%
SBLK F -0.24%
O D -0.24%
NEE D -0.24%
BLK C -0.24%
COP C -0.24%
CNA B -0.23%
PFGC B -0.22%
AMH D -0.22%
STNG F -0.22%
EQIX A -0.21%
CVBF A -0.2%
FLO D -0.2%
SO D -0.2%
OTTR C -0.2%
MUSA A -0.19%
XEL A -0.19%
GEV B -0.17%
NEU C -0.17%
REYN D -0.16%
KAR B -0.15%
WEC A -0.15%
EXR D -0.14%
SFNC B -0.14%
OGN D -0.13%
BX A -0.13%
NHI D -0.12%
TGT F -0.11%
PFE D -0.1%
D C -0.08%
BDX F -0.07%
AJG B -0.05%
SPG B -0.05%
SYK C -0.05%
MDLZ F -0.03%
GIS D -0.03%
ELV F -0.03%
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