VTC vs. TFPN ETF Comparison

Comparison of Vanguard Total Corporate Bond ETF (VTC) to Blueprint Chesapeake Multi-Asset Trend ETF (TFPN)
VTC

Vanguard Total Corporate Bond ETF

VTC Description

The investment seeks to track the performance of a broad, market-weighted corporate bond index. The fund is a fund of funds and employs an indexing investment approach designed to track the performance of the Bloomberg Barclays U.S. Corporate Bond Index, which measures the investment-grade, fixed-rate, taxable corporate bond market. The index includes U.S. dollar-denominated securities that are publicly issued by industrial, utility, and financial issuers.

Grade (RS Rating)

Last Trade

$76.66

Average Daily Volume

41,130

Number of Holdings *

2

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

Blueprint Chesapeake Multi-Asset Trend ETF

TFPN Description The fund is an actively-managed exchange-traded fund ("ETF") that seeks to achieve its investment objective by investing pursuant to a trend following program called the Chesapeake Program. In addition, the fund invests in cash, short-term U.S. Treasury securities, money market funds, and cash equivalents. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$25.35

Average Daily Volume

13,357

Number of Holdings *

185

* may have additional holdings in another (foreign) market
Performance
Period VTC TFPN
30 Days -0.57% 4.17%
60 Days -2.96% 4.56%
90 Days -1.03% 4.82%
12 Months 8.23% 4.47%
2 Overlapping Holdings
Symbol Grade Weight in VTC Weight in TFPN Overlap
VCIT C 28.67% 0.84% 0.84%
VCLT D 33.24% 0.46% 0.46%
VTC Overweight 0 Positions Relative to TFPN
Symbol Grade Weight
VTC Underweight 183 Positions Relative to TFPN
Symbol Grade Weight
SUB C -2.52%
STIP A -2.05%
MSTR B -1.04%
MUB A -1.01%
CWB A -0.99%
AZZ A -0.93%
BKLN A -0.91%
MBB D -0.81%
PFF C -0.77%
UFPT C -0.76%
CCK D -0.73%
CRS A -0.71%
AXON A -0.7%
MKC C -0.64%
TKO A -0.64%
PPC B -0.63%
INGR B -0.62%
CTVA C -0.62%
VMI B -0.62%
MOG.A B -0.62%
EMB C -0.61%
AXTA B -0.6%
CHRW B -0.58%
GLNG D -0.57%
LPX B -0.57%
OC A -0.55%
ERJ B -0.55%
GATX A -0.54%
BWXT B -0.54%
CR A -0.53%
EXP B -0.52%
KEYS A -0.51%
FLS A -0.51%
SLVM B -0.5%
IBIT A -0.5%
APD A -0.49%
BRC C -0.49%
WHD B -0.49%
SLGN A -0.48%
ABM B -0.47%
ENR A -0.47%
CALM A -0.47%
BDC B -0.46%
BERY C -0.46%
BCC C -0.46%
ITT B -0.46%
AWI A -0.45%
RBC A -0.45%
CLH C -0.44%
BMI B -0.44%
FOUR A -0.43%
KEX A -0.43%
ATR B -0.43%
CF A -0.42%
KNF B -0.41%
ESI B -0.41%
TRN B -0.41%
AVAV C -0.41%
KTOS C -0.4%
BCPC B -0.4%
PHIN A -0.4%
GVA A -0.39%
EPAC B -0.39%
GEO A -0.38%
CBT C -0.38%
MTX C -0.37%
MTZ A -0.37%
WFG C -0.37%
BTU B -0.36%
KALU C -0.36%
ORA B -0.36%
COIN B -0.36%
LFUS D -0.36%
GPK D -0.35%
ACGL D -0.35%
HAS D -0.35%
FELE B -0.34%
GXO B -0.34%
INFY C -0.33%
AVNT B -0.33%
TGLS B -0.33%
DAC B -0.33%
ILMN C -0.33%
MHK D -0.32%
LITE B -0.31%
VITL D -0.31%
COHR B -0.31%
STLD B -0.31%
FMC D -0.31%
CXW C -0.3%
SUM B -0.3%
LEU C -0.3%
YOU D -0.29%
PODD B -0.29%
NVT C -0.29%
ZIM B -0.28%
BNTX D -0.28%
KNX B -0.28%
OLED F -0.28%
AA A -0.28%
NOVT D -0.28%
IIPR F -0.27%
CMC B -0.27%
DOCN D -0.27%
LNW F -0.27%
GTLS A -0.26%
JAZZ B -0.26%
WERN B -0.26%
SMG C -0.25%
STWD C -0.25%
PCT B -0.24%
GBX B -0.24%
OII B -0.24%
SQ A -0.23%
BXMT C -0.23%
MP C -0.22%
ENS D -0.22%
FNKO D -0.22%
GFF A -0.21%
NET B -0.21%
SEE D -0.21%
TWST F -0.18%
CLSK C -0.17%
RYN D -0.17%
UEC B -0.16%
GRFS C -0.15%
WULF C -0.14%
IRDM F -0.14%
IREN C -0.13%
GNTX F -0.11%
RIOT C -0.1%
CIFR C -0.1%
BTBT C -0.1%
CNM C -0.08%
OSK C -0.08%
APLD B -0.08%
BC F -0.08%
X C -0.08%
WMS F -0.07%
ALG C -0.06%
SBLK F -0.05%
TEX D -0.04%
MARA B -0.03%
CHX C -0.03%
PFE F --0.07%
REGN F --0.11%
EQNR C --0.11%
BUD F --0.12%
ANSS B --0.14%
HRL D --0.17%
ELV F --0.2%
CSGP C --0.22%
XYL D --0.23%
KHC F --0.23%
NUE D --0.25%
ADM D --0.26%
DEO F --0.26%
UPS C --0.29%
RPRX D --0.31%
BIIB F --0.33%
DG F --0.38%
GSK F --0.4%
BDX F --0.4%
NVO D --0.4%
FMX F --0.41%
TTE F --0.41%
HAL C --0.43%
DVN F --0.44%
OXY D --0.45%
BP F --0.47%
SLB C --0.47%
DOW F --0.5%
IDXX F --0.5%
COP B --0.5%
MRK F --0.54%
PPG F --0.55%
LULU C --0.59%
LYB F --0.59%
HES B --0.61%
HSY F --0.61%
STZ D --0.72%
ZBH C --0.77%
CNI F --0.93%
Compare ETFs