TUG vs. CRTC ETF Comparison

Comparison of STF Tactical Growth ETF (TUG) to Xtrackers US National Critical Technologies ETF (CRTC)
TUG

STF Tactical Growth ETF

TUG Description

STF Tactical Growth ETF is an exchange traded fund launched by Listed Funds Trust. The fund is managed by STF Management, LLC. It invests in public equity and fixed income markets of global region. For its equity portion, the fund invests directly and through other funds in stocks of companies operating across communication services, consumer discretionary, consumer staples, energy, health care, industrials, information technology, materials, real estate and utilities sectors. The fund invests in growth and value stocks of large-cap companies. For its fixed income portion, the fund invests directly and through other funds in long-duration U.S. Treasury securities and short-term U.S. Treasury bills. It employs fundamental and quantitative analysis to create its portfolio. The fund employs proprietary research to create its portfolio. STF Tactical Growth ETF was formed on May 19, 2022 and is domiciled in the United States.

Grade (RS Rating)

Last Trade

$34.60

Average Daily Volume

15,991

Number of Holdings *

101

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

Xtrackers US National Critical Technologies ETF

CRTC Description CRTC tracks an index of large- and mid-cap companies considered to support critical emerging technologies to the US and its allies. Companies must be associated with one of 14 critical technology sectors and pose low geopolitical risk. Critical technology sectors are determined by a division of the US DoD and include biotechnology, quantum science, wireless tech, advanced materials, advanced computing or software, directed or renewable energy, human-machine interfaces, hypersonics, integration of systems, integrated sensing and cyber, microelectronics, space technology, AI and autonomy. A model developed by J.H. Whitney aims to quantify the level of entanglement that companies share with nation-states defined as adversarial to the US. Companies with a lower geostrategic risk rating are considered. A selection party determines the index holdings on the last Thursday of January, April, July, and October. Holdings are market cap weighted. Rebalance occurs ten days after the selection date.

Grade (RS Rating)

Last Trade

$32.37

Average Daily Volume

2,990

Number of Holdings *

156

* may have additional holdings in another (foreign) market
Performance
Period TUG CRTC
30 Days 3.44% 2.76%
60 Days 4.52% 3.55%
90 Days 5.11% 4.69%
12 Months 24.08% 28.11%
50 Overlapping Holdings
Symbol Grade Weight in TUG Weight in CRTC Overlap
ADBE C 1.48% 1.4% 1.4%
ADI D 0.66% 0.67% 0.66%
ADP B 0.77% 0.78% 0.77%
ADSK A 0.42% 0.42% 0.42%
AEP D 0.31% 0.33% 0.31%
AMAT F 0.98% 0.9% 0.9%
AMGN D 1.0% 0.99% 0.99%
AMZN C 5.31% 5.26% 5.26%
ANSS B 0.18% 0.19% 0.18%
BIIB F 0.15% 0.14% 0.14%
CDNS B 0.51% 0.53% 0.51%
CEG D 0.44% 0.47% 0.44%
CHTR C 0.35% 0.24% 0.24%
CMCSA B 1.05% 1.04% 1.04%
CRWD B 0.49% 0.51% 0.49%
CSCO B 1.42% 1.46% 1.42%
CSGP D 0.19% 0.2% 0.19%
CTSH B 0.25% 0.25% 0.25%
DASH A 0.41% 0.35% 0.35%
DDOG A 0.25% 0.25% 0.25%
DXCM D 0.18% 0.19% 0.18%
EA A 0.27% 0.25% 0.25%
EXC C 0.24% 0.25% 0.24%
FTNT C 0.44% 0.37% 0.37%
GEHC F 0.24% 0.24% 0.24%
GILD C 0.72% 0.7% 0.7%
GOOGL C 2.45% 4.97% 2.45%
HON B 0.93% 0.94% 0.93%
IDXX F 0.21% 0.22% 0.21%
ILMN D 0.14% 0.13% 0.13%
INTC D 0.66% 0.66% 0.66%
INTU C 1.21% 1.14% 1.14%
LRCX F 0.62% 0.57% 0.57%
MDB C 0.13% 0.13% 0.13%
MRNA F 0.09% 0.08% 0.08%
MSFT F 7.68% 4.94% 4.94%
NVDA C 8.59% 5.31% 5.31%
PANW C 0.81% 0.81% 0.81%
PCAR B 0.38% 0.36% 0.36%
REGN F 0.52% 0.5% 0.5%
ROP B 0.37% 0.37% 0.37%
SNPS B 0.52% 0.53% 0.52%
TEAM A 0.24% 0.25% 0.24%
TMUS B 1.72% 0.72% 0.72%
TTD B 0.35% 0.36% 0.35%
TTWO A 0.19% 0.19% 0.19%
VRTX F 0.77% 0.74% 0.74%
WBD C 0.15% 0.14% 0.14%
WDAY B 0.36% 0.35% 0.35%
ZS C 0.19% 0.12% 0.12%
TUG Overweight 51 Positions Relative to CRTC
Symbol Grade Weight
AAPL C 8.38%
AVGO D 4.94%
META D 4.93%
TSLA B 3.58%
COST B 2.57%
GOOG C 2.37%
NFLX A 2.2%
PEP F 1.41%
AMD F 1.39%
LIN D 1.36%
ISRG A 1.19%
TXN C 1.18%
QCOM F 1.15%
BKNG A 1.04%
SBUX A 0.7%
MU D 0.68%
MELI D 0.59%
PYPL B 0.56%
MDLZ F 0.55%
KLAC D 0.55%
CTAS B 0.55%
MAR B 0.5%
MRVL B 0.49%
ORLY B 0.45%
PDD F 0.45%
CSX B 0.44%
ASML F 0.39%
ABNB C 0.38%
MNST C 0.36%
NXPI D 0.35%
CPRT A 0.34%
PAYX C 0.33%
ROST C 0.3%
ODFL B 0.3%
FAST B 0.29%
KDP D 0.28%
BKR B 0.27%
LULU C 0.25%
VRSK A 0.25%
KHC F 0.24%
AZN D 0.24%
CCEP C 0.23%
XEL A 0.23%
MCHP D 0.22%
FANG D 0.21%
ON D 0.18%
GFS C 0.15%
CDW F 0.15%
ARM D 0.1%
DLTR F 0.09%
SMCI F 0.07%
TUG Underweight 106 Positions Relative to CRTC
Symbol Grade Weight
XOM B -3.41%
ORCL B -1.97%
CRM B -1.94%
CVX A -1.89%
ABBV D -1.89%
NOW A -1.34%
ABT B -1.28%
IBM C -1.27%
TMO F -1.25%
VZ C -1.14%
T A -1.04%
NEE D -1.01%
RTX C -1.01%
DHR F -0.98%
ETN A -0.91%
PFE D -0.9%
BSX B -0.85%
LMT D -0.81%
PLTR B -0.8%
SHOP B -0.8%
BMY B -0.75%
BA F -0.7%
MDT D -0.69%
ANET C -0.63%
SO D -0.61%
GEV B -0.6%
PH A -0.57%
MSI B -0.52%
ZTS D -0.51%
ITW B -0.5%
GD F -0.49%
EMR A -0.47%
NOC D -0.46%
TDG D -0.45%
CARR D -0.4%
GM B -0.39%
FCX D -0.39%
PSX C -0.35%
FICO B -0.35%
JCI C -0.35%
MPC D -0.34%
D C -0.31%
SQ B -0.31%
LHX C -0.3%
FIS C -0.3%
VLO C -0.28%
AME A -0.28%
IR B -0.27%
SNOW C -0.26%
DELL C -0.26%
A D -0.24%
DD D -0.22%
HUBS A -0.22%
IQV D -0.22%
ARGX A -0.22%
RMD C -0.22%
ETR B -0.21%
EIX B -0.21%
VEEV C -0.2%
DOW F -0.2%
ROK B -0.2%
ALNY D -0.2%
GPN B -0.19%
HPE B -0.18%
KEYS A -0.18%
NET B -0.18%
BR A -0.17%
FTV C -0.17%
RBLX C -0.17%
DOV A -0.17%
MTD D -0.16%
PPL B -0.16%
FE C -0.15%
WAT B -0.14%
LDOS C -0.14%
EXPE B -0.14%
ZBRA B -0.13%
LH C -0.13%
ZM B -0.13%
GEN B -0.11%
TER D -0.11%
EXPD D -0.11%
ICLR D -0.11%
VRSN F -0.11%
TRMB B -0.11%
PINS D -0.11%
DGX A -0.11%
TXT D -0.1%
CHKP D -0.1%
SSNC B -0.1%
XRX F -0.1%
AVTR F -0.09%
INCY C -0.09%
OKTA C -0.08%
BMRN D -0.08%
CYBR B -0.08%
AKAM D -0.08%
WIX B -0.08%
DOX D -0.07%
AGR B -0.07%
CLBT B -0.07%
SNAP C -0.07%
ENPH F -0.06%
OTEX D -0.06%
RPRX D -0.06%
MNDY C -0.06%
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