VUSB vs. MYLD ETF Comparison

Comparison of Vanguard Ultra-Short Bond ETF (VUSB) to Cambria Micro and SmallCap Shareholder Yield ETF (MYLD)
VUSB

Vanguard Ultra-Short Bond ETF

VUSB Description

Vanguard Bond Index Funds - Vanguard Ultra-Short Bond ETF is an exchange traded fund launched and managed by The Vanguard Group, Inc. The fund invests in the fixed income markets. It primarily invests in high-quality securities that are rated A3 or better and medium-quality securities that are rated Baa1, Baa2, or Baa3 by Moody's Investors Service, Inc. The fund seeks to invest in securities with maturity of 0-2 years. The fund employs fundamental analysis with bottom-up and top-down security picking approach to create its portfolio. Vanguard Bond Index Funds - Vanguard Ultra-Short Bond ETF was formed on April 5, 2021 is domiciled in the United States.

Grade (RS Rating)

Last Trade

$49.72

Average Daily Volume

695,333

Number of Holdings *

201

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

Cambria Micro and SmallCap Shareholder Yield ETF

MYLD Description The fund is actively managed using a model-based approach and seeks to achieve its investment objective by investing, under normal market conditions, at least 80% of its net assets, plus borrowings for investment purposes, in equity securities, including common stock, issued by U.S.-based micro and small capitalization publicly listed companies that provide high "shareholder yield."

Grade (RS Rating)

Last Trade

$28.10

Average Daily Volume

3,101

Number of Holdings *

99

* may have additional holdings in another (foreign) market
Performance
Period VUSB MYLD
30 Days 0.28% 7.74%
60 Days 0.44% 6.57%
90 Days 1.12% 4.21%
12 Months 6.25%
3 Overlapping Holdings
Symbol Grade Weight in VUSB Weight in MYLD Overlap
BHF B 0.7% 0.9% 0.7%
JXN C 0.01% 1.34% 0.01%
LNC B 0.09% 0.99% 0.09%
VUSB Overweight 198 Positions Relative to MYLD
Symbol Grade Weight
RL B 0.99%
NVDA C 0.71%
COF B 0.61%
CMCSA B 0.6%
COP C 0.52%
GIS D 0.47%
SYY B 0.43%
EMN D 0.42%
GILD C 0.36%
SPG B 0.3%
NUE C 0.29%
HRL D 0.28%
ZBH C 0.28%
ALL A 0.27%
PSA D 0.25%
CNH C 0.24%
WM A 0.24%
EOG A 0.23%
MLM B 0.23%
MCK B 0.23%
STZ D 0.23%
AMP A 0.2%
PYPL B 0.2%
EBAY D 0.19%
HII D 0.19%
CHTR C 0.18%
MPC D 0.18%
GPN B 0.18%
MKC D 0.17%
RPRX D 0.17%
AIG B 0.17%
EQH B 0.17%
SWKS F 0.15%
ROK B 0.14%
OKE A 0.14%
UNP C 0.14%
PEP F 0.13%
ESGR B 0.13%
EQR B 0.13%
KIM A 0.13%
AAPL C 0.12%
AMGN D 0.12%
SLB C 0.12%
BDN C 0.11%
LEN D 0.11%
PFG D 0.11%
PSX C 0.11%
CB C 0.11%
HUM C 0.11%
SRE A 0.11%
SLG B 0.1%
SBUX A 0.1%
TDY B 0.1%
CM A 0.1%
BHP F 0.09%
CHD B 0.09%
PG A 0.09%
DB D 0.09%
NWG C 0.09%
CCEP C 0.08%
MMC B 0.08%
KR B 0.08%
IBM C 0.08%
MS A 0.08%
CAG D 0.07%
MCO B 0.07%
IVZ B 0.07%
AON A 0.07%
MDLZ F 0.07%
AMZN C 0.06%
AMTD D 0.06%
AEP D 0.06%
EPD A 0.06%
DTE C 0.06%
ILMN D 0.06%
PAA B 0.06%
TXN C 0.06%
ALLY C 0.06%
AL B 0.06%
R B 0.06%
MUFG B 0.06%
UBS C 0.06%
LLY F 0.05%
KEY B 0.05%
IFF D 0.05%
NDAQ A 0.05%
TD F 0.05%
KSA D 0.05%
ETR B 0.05%
ICE C 0.05%
ABBV D 0.05%
DIS B 0.05%
PRU A 0.05%
AXP A 0.05%
VTRS A 0.05%
ZTS D 0.04%
DELL C 0.04%
CSL C 0.04%
CME A 0.04%
CCI D 0.04%
SHW A 0.04%
OPI F 0.04%
OHI C 0.04%
ES D 0.04%
CI F 0.04%
SEB F 0.04%
SO D 0.04%
BKH A 0.03%
BK A 0.03%
BIIB F 0.03%
AEE A 0.03%
DD D 0.03%
FNF B 0.03%
KRC C 0.03%
KMB D 0.03%
MSFT F 0.03%
TEL B 0.03%
SYF B 0.03%
ARCC A 0.03%
USB A 0.03%
UPS C 0.03%
INTC D 0.03%
DFS B 0.03%
PM B 0.03%
GM B 0.03%
ORCL B 0.03%
BMY B 0.03%
CFG B 0.02%
GE D 0.02%
MRK F 0.02%
KMPR B 0.02%
PNC B 0.02%
O D 0.02%
NSC B 0.02%
TAP C 0.02%
WRB A 0.02%
VOD F 0.02%
HOG D 0.02%
HON B 0.02%
KMI A 0.02%
DUK C 0.02%
BXP D 0.02%
BNS A 0.02%
BMO A 0.02%
LYB F 0.01%
FANG D 0.01%
CTAS B 0.01%
HD A 0.01%
GSK F 0.01%
FIS C 0.01%
DT C 0.01%
MKL A 0.01%
LOW D 0.01%
HPE B 0.01%
SCHW B 0.01%
PCAR B 0.01%
TSN B 0.01%
BEN C 0.01%
AVGO D 0.01%
ATO A 0.01%
ARW D 0.01%
XOM B 0.01%
STT A 0.01%
MAR B 0.01%
T A 0.01%
CAT B 0.01%
CVS D 0.01%
KDP D 0.01%
VZ C 0.01%
WMB A 0.01%
CPB D 0.01%
EXC C 0.01%
LIN D 0.01%
DE A 0.01%
CVX A 0.01%
AZO C 0.01%
BA F 0.01%
EIX B 0.01%
UNH C 0.01%
TFC A 0.01%
NEM D 0.01%
JPM A 0.01%
AZN D 0.01%
NEE D 0.01%
ET A 0.01%
AER B 0.01%
PL A 0.01%
CNP B 0.01%
MET A 0.01%
AVB B 0.01%
WFC A 0.01%
D C 0.01%
AMT D 0.01%
BAC A 0.01%
LUV C 0.01%
C A 0.01%
GS A 0.01%
HSBC B 0.01%
VUSB Underweight 96 Positions Relative to MYLD
Symbol Grade Weight
REVG B -1.64%
TBBK B -1.56%
CASH A -1.5%
CNX A -1.48%
PRDO B -1.4%
CALM A -1.39%
SKYW B -1.38%
CNO A -1.33%
APOG B -1.32%
CEIX A -1.29%
SLVM B -1.27%
COOP B -1.27%
IBOC A -1.25%
PRG C -1.24%
AX A -1.23%
GTES A -1.22%
ATGE B -1.21%
INVA D -1.21%
IMMR C -1.18%
PFC A -1.16%
SXC A -1.14%
MATX C -1.14%
SASR B -1.14%
TASK C -1.11%
DLX B -1.11%
KMT B -1.1%
KBH D -1.09%
EIG B -1.09%
MCRI A -1.09%
PINC B -1.09%
BRC D -1.08%
UVSP B -1.08%
CNOB B -1.07%
UVE B -1.07%
GNW A -1.07%
MTG C -1.04%
SLM A -1.03%
TGNA B -1.03%
ALE A -1.03%
ABM B -1.02%
ACT D -1.02%
PATK D -1.02%
SPOK C -0.99%
GDEN B -0.99%
WKC D -0.98%
ACCO C -0.98%
RDN C -0.98%
BTU B -0.97%
COLM B -0.97%
SHOO D -0.96%
TNL A -0.96%
GIII D -0.95%
BBDC A -0.95%
NVGS C -0.95%
SBH C -0.95%
AVT C -0.94%
ARCH B -0.94%
CNDT C -0.93%
SPB C -0.93%
LBRT D -0.91%
DXC B -0.9%
ASGN F -0.89%
NXST C -0.89%
FF D -0.89%
UPBD B -0.87%
IIIN C -0.85%
KRO D -0.85%
ETD C -0.84%
LSEA D -0.84%
SM B -0.84%
NAVI C -0.84%
METC C -0.84%
MLKN D -0.83%
EPC D -0.83%
AEO F -0.82%
CAL D -0.81%
EGY D -0.81%
MAN D -0.8%
HP B -0.76%
RYI C -0.73%
WU D -0.72%
GNK D -0.71%
PDCO D -0.71%
ASO F -0.69%
LPG F -0.68%
INSW F -0.66%
WNC C -0.65%
AMR C -0.65%
SCHL D -0.64%
KSS F -0.64%
CRI D -0.63%
BRY F -0.57%
CVI F -0.53%
ODP F -0.5%
ATKR C -0.49%
XRX F -0.49%
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