TTAC vs. IXJ ETF Comparison

Comparison of TrimTabs Float Shrink ETF (TTAC) to iShares Global Healthcare ETF (IXJ)
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

$69.95

Average Daily Volume

56,687

Number of Holdings *

143

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

iShares Global Healthcare ETF

IXJ Description The investment seeks to track the investment results of an index composed of global equities in the healthcare sector. 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. It seeks to track the investment results of the S&P Global 1200 Healthcare Sector IndexTM (the "underlying index"), which measures the performance of companies that S&P Dow Jones Indices LLC ("S&P"), deems to be a part of the healthcare sector of the economy and that S&P believes are important to global markets. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$91.16

Average Daily Volume

132,450

Number of Holdings *

63

* may have additional holdings in another (foreign) market
Performance
Period TTAC IXJ
30 Days 6.26% -5.50%
60 Days 7.10% -8.05%
90 Days 9.14% -9.84%
12 Months 29.47% 10.11%
11 Overlapping Holdings
Symbol Grade Weight in TTAC Weight in IXJ Overlap
A D 0.51% 0.52% 0.51%
ABBV D 2.35% 4.08% 2.35%
AMGN D 0.79% 2.16% 0.79%
BMY B 1.55% 1.63% 1.55%
COR B 0.2% 0.58% 0.2%
GILD C 1.49% 1.56% 1.49%
HOLX D 0.32% 0.24% 0.24%
JNJ D 2.01% 4.7% 2.01%
MRK F 0.96% 3.39% 0.96%
MTD D 0.38% 0.36% 0.36%
RMD C 0.39% 0.46% 0.39%
TTAC Overweight 132 Positions Relative to IXJ
Symbol Grade Weight
AAPL C 5.95%
HD A 2.79%
APP B 2.53%
PG A 1.95%
AXP A 1.87%
ACN C 1.76%
NOW A 1.67%
BKNG A 1.61%
IBM C 1.53%
PM B 1.51%
ADBE C 1.46%
QCOM F 1.44%
META D 1.43%
INTU C 1.32%
PANW C 1.25%
LOW D 1.23%
CL D 1.22%
MSI B 1.22%
MMM D 1.18%
FTNT C 1.07%
ADP B 1.05%
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%
LMT D 0.83%
TT A 0.78%
MCO B 0.75%
V A 0.74%
CVLT B 0.73%
COF B 0.71%
DOCU A 0.69%
MO A 0.68%
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%
PAYX C 0.59%
VLO C 0.59%
NTAP C 0.57%
CPAY A 0.56%
INGR B 0.54%
BOX B 0.54%
DDOG A 0.54%
LRCX F 0.53%
KLAC D 0.52%
EME C 0.52%
PWR A 0.51%
BRBR A 0.5%
SLVM B 0.5%
MANH D 0.5%
WSO A 0.49%
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%
MEDP D 0.45%
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%
ZM B 0.39%
TPR B 0.39%
GEN B 0.38%
NFLX A 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%
PPC C 0.33%
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%
FTI A 0.24%
HAS D 0.23%
CNM D 0.22%
EEFT B 0.21%
MAT D 0.21%
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 52 Positions Relative to IXJ
Symbol Grade Weight
LLY F -8.42%
UNH C -7.43%
TMO F -2.76%
ABT B -2.72%
ISRG A -2.59%
DHR F -2.09%
PFE D -2.02%
SYK C -1.79%
BSX B -1.75%
VRTX F -1.7%
MDT D -1.5%
ELV F -1.28%
CI F -1.23%
REGN F -1.13%
ZTS D -1.09%
MCK B -1.08%
CVS D -0.94%
BDX F -0.89%
HCA F -0.87%
EW C -0.54%
GEHC F -0.52%
IDXX F -0.48%
IQV D -0.48%
HUM C -0.47%
CNC D -0.42%
CAH B -0.41%
DXCM D -0.41%
BIIB F -0.34%
WST C -0.33%
WAT B -0.31%
STE F -0.3%
ZBH C -0.3%
LH C -0.27%
COO D -0.27%
MOH F -0.25%
PODD C -0.25%
DGX A -0.24%
ALGN D -0.22%
BAX D -0.22%
VTRS A -0.22%
RVTY F -0.2%
INCY C -0.17%
TECH D -0.16%
UHS D -0.16%
CTLT B -0.15%
CRL C -0.15%
TFX F -0.13%
SOLV C -0.13%
HSIC B -0.12%
MRNA F -0.12%
DVA B -0.1%
MBAVU D -0.05%
Compare ETFs