XSLV vs. CSMD ETF Comparison

Comparison of PowerShares S&P SmallCap Low Volatility Portfolio (XSLV) to Congress SMid Growth ETF (CSMD)
XSLV

PowerShares S&P SmallCap Low Volatility Portfolio

XSLV Description

The PowerShares S&P SmallCap Low Volatility Portfolio (Fund) is based on the S&P SmallCap 600 Low Volatility Index (Index). The Fund generally will invest at least 90% of its total assets in common stocks that comprise the Index. The Index is compiled, maintained and calculated by Standard & Poor's, consisting of 120 out of 600 small-capitalization range securities from the S&P SmallCap 600 Index with the lowest realized volatility over the past 12 months. Volatility is a statistical measurement of the magnitude of up and down asset price fluctuations over time. The Fund and the Index are rebalanced and reconstituted quarterly.

Grade (RS Rating)

Last Trade

$50.21

Average Daily Volume

18,871

Number of Holdings *

118

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

Congress SMid Growth ETF

CSMD Description The fund is an actively-managed exchange-traded fund ("ETF"). The fund seeks to achieve its investment objective by investing at least 80% of its net assets (plus any borrowings for investment purposes) in equity securities of small and mid-capitalization companies. The fund invests primarily in publicly traded stocks of U.S. companies which Congress Asset Management Company, LLP considers to have a small to mid-size market capitalization.

Grade (RS Rating)

Last Trade

$31.25

Average Daily Volume

40,016

Number of Holdings *

43

* may have additional holdings in another (foreign) market
Performance
Period XSLV CSMD
30 Days 5.39% 5.72%
60 Days 5.01% 4.62%
90 Days 6.05% 5.29%
12 Months 26.40% 28.13%
3 Overlapping Holdings
Symbol Grade Weight in XSLV Weight in CSMD Overlap
PBH A 1.0% 2.59% 1.0%
SMPL B 0.78% 1.67% 0.78%
WERN C 0.85% 1.61% 0.85%
XSLV Overweight 115 Positions Relative to CSMD
Symbol Grade Weight
EIG B 1.17%
LTC B 1.11%
CTRE C 1.1%
AMSF B 1.09%
EPRT B 1.06%
RHI C 1.06%
PECO A 1.03%
HMN B 1.01%
IDCC B 1.01%
FELE B 1.0%
MSGS A 1.0%
SKT A 1.0%
MCRI A 1.0%
PJT A 0.99%
CHCO B 0.98%
AGO B 0.98%
PIPR A 0.98%
CASH B 0.98%
GTY A 0.97%
FCPT C 0.96%
PRGS A 0.96%
APOG C 0.96%
SAFT B 0.96%
IOSP C 0.96%
AWI A 0.95%
TR B 0.95%
MLI B 0.95%
SHO D 0.94%
INVA D 0.94%
APLE B 0.93%
BSIG A 0.93%
ESE B 0.93%
AWR B 0.92%
PINC B 0.91%
NPK B 0.91%
UE B 0.91%
COOP B 0.9%
SNEX B 0.89%
ACA A 0.89%
BRC D 0.89%
BCPC B 0.89%
PLXS B 0.89%
HUBG A 0.88%
AKR B 0.88%
CPF B 0.87%
GTES A 0.87%
CPK A 0.86%
KFY B 0.86%
NMIH C 0.86%
ALEX B 0.86%
MOG.A B 0.86%
BFS C 0.85%
NBHC C 0.85%
EPAC C 0.85%
MGY A 0.84%
FHB B 0.84%
WABC B 0.84%
MTX B 0.84%
AL B 0.84%
DRH B 0.84%
WSR A 0.84%
KAR B 0.84%
FDP B 0.83%
FUL F 0.83%
EFC C 0.83%
HSTM B 0.83%
KMT B 0.83%
UTL B 0.82%
PSMT D 0.82%
WT A 0.82%
RDN D 0.82%
NWBI B 0.82%
AVA A 0.8%
VRE B 0.8%
SXT C 0.8%
NWN A 0.8%
MMSI A 0.79%
GNW A 0.79%
SNDR B 0.78%
FBP C 0.77%
OFG B 0.77%
FBRT D 0.77%
SHOO F 0.77%
HTH C 0.77%
LXP D 0.77%
CWT C 0.76%
NAVI F 0.76%
EPC F 0.76%
SJW F 0.76%
UNF B 0.75%
CNXN C 0.75%
MRTN D 0.74%
EVTC B 0.74%
NHC C 0.74%
EZPW B 0.73%
CSR B 0.72%
ELME D 0.71%
AHH D 0.71%
TNC D 0.7%
DFIN D 0.7%
SPNT B 0.7%
JJSF C 0.7%
USPH B 0.69%
FSS B 0.69%
ADUS D 0.68%
NVEE F 0.67%
UHT D 0.67%
RGR F 0.66%
SPTN D 0.65%
AIN C 0.64%
VRRM F 0.64%
NSIT F 0.64%
JBSS F 0.63%
NABL F 0.56%
KELYA F 0.55%
XSLV Underweight 40 Positions Relative to CSMD
Symbol Grade Weight
FIX A -4.4%
CYBR A -3.72%
CW C -3.4%
SPSC D -3.1%
VMI B -3.09%
PTC B -2.92%
TSCO D -2.88%
STRL A -2.85%
BJ A -2.69%
SUM B -2.62%
MEDP D -2.57%
WHD B -2.52%
UFPT C -2.51%
PODD C -2.46%
HALO F -2.45%
AZEK A -2.42%
MORN B -2.35%
WSM C -2.35%
ELF C -2.3%
ENTG D -2.21%
CVLT B -2.18%
NVT B -2.15%
KBR F -2.08%
WAL B -2.08%
BMI B -2.08%
CDW F -1.94%
RRC B -1.93%
OLLI D -1.88%
STE D -1.87%
LECO C -1.86%
POOL C -1.85%
KNSL B -1.75%
AVY F -1.75%
CHH A -1.69%
TRNO F -1.59%
RGEN D -1.44%
OPCH D -1.19%
PEN B -1.16%
PSN D -0.9%
CALX D -0.02%
Compare ETFs