YOLO vs. IBB ETF Comparison

Comparison of AdvisorShares Pure Cannabis ETF (YOLO) to iShares Nasdaq Biotechnology Index Fund (IBB)
YOLO

AdvisorShares Pure Cannabis ETF

YOLO Description

Cannabis and its various applications have been used throughout human civilization for over 5,000 years. As society, business and regulatory landscapes evolve in the 21st century, the upside potential of cannabis as an emerging investment avenue has arrived. The portfolio manager believes today’s new era can be viewed in similar regard to post-Prohibition, commencing a growing acknowledgement and understanding of cannabis and its uses among a mainstream audience. The industries that comprise the multi-billion dollar cannabis universe represent a new frontier, where proper caution and due diligence must be exercised surrounding its regulations and risks, in seeking attractive long-term cannabis investment opportunities. The AdvisorShares Pure Cannabis ETF (Ticker: YOLO) became the first actively managed ETF with a dedicated cannabis investment mandate domiciled in the United States. The AdvisorShares Pure Cannabis ETF, or YOLO, seeks long-term capital appreciation by investing in both domestic and foreign cannabis equity securities. YOLO is designed to fully-invest for pure cannabis exposure under the guidance of a deeply experienced portfolio management team navigating the emerging cannabis marketplace.

Grade (RS Rating)

Last Trade

$3.77

Average Daily Volume

64,652

Number of Holdings *

11

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

iShares Nasdaq Biotechnology Index Fund

IBB Description The investment seeks to track the investment results of an index composed of biotechnology and pharmaceutical equities listed on the NASDAQ. 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. The underlying index contains securities of NASDAQ® listed companies that are classified according to the Industry Classification Benchmark as either biotechnology or pharmaceuticals and that also meet other eligibility criteria determined by The NASDAQ OMX Group, Inc. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$127.40

Average Daily Volume

1,706,106

Number of Holdings *

214

* may have additional holdings in another (foreign) market
Performance
Period YOLO IBB
30 Days -7.11% -6.45%
60 Days 6.67% -6.19%
90 Days 3.21% -6.01%
12 Months 40.03% -1.42%
0 Overlapping Holdings
Symbol Grade Weight in YOLO Weight in IBB Overlap
YOLO Overweight 11 Positions Relative to IBB
Symbol Grade Weight
MSOS D 41.56%
HITI B 7.84%
SNDL B 4.57%
OGI D 3.79%
REFI B 3.33%
AFCG B 3.08%
TLRY F 2.49%
JAZZ F 2.25%
GRWG F 1.15%
MAPS D 0.34%
PW F 0.01%
YOLO Underweight 214 Positions Relative to IBB
Symbol Grade Weight
AMGN B -8.68%
VRTX D -8.34%
REGN D -8.14%
GILD F -7.99%
IQV C -4.51%
MRNA B -3.83%
BIIB D -3.14%
MTD D -2.8%
ILMN D -2.06%
ARGX D -1.99%
WAT C -1.96%
ALNY F -1.94%
BNTX F -1.93%
GMAB D -1.66%
BMRN D -1.63%
NBIX B -1.43%
BGNE D -1.29%
CRL C -1.23%
INCY F -1.22%
SRPT B -1.21%
UTHR A -1.1%
NTRA A -1.08%
TECH D -1.05%
MEDP B -1.03%
RGEN D -0.93%
BRKR C -0.78%
EXEL A -0.75%
ITCI B -0.73%
LEGN F -0.73%
ASND D -0.71%
CYTK D -0.69%
PCVX D -0.66%
IONS D -0.6%
BPMC B -0.59%
ROIV B -0.56%
RVMD A -0.52%
HALO D -0.52%
APLS F -0.51%
CRSP F -0.46%
ALKS D -0.43%
INSM F -0.39%
KRYS D -0.39%
RARE D -0.36%
MDGL F -0.34%
BBIO D -0.34%
FTRE C -0.34%
CRNX B -0.32%
XENE C -0.31%
ALPN A -0.31%
FOLD F -0.31%
SWTX C -0.3%
AXSM D -0.3%
ACAD F -0.29%
TXG F -0.28%
BHVN D -0.28%
IOVA D -0.27%
IDYA C -0.27%
ARWR F -0.27%
IMCR D -0.26%
OLK B -0.26%
MOR B -0.25%
VCEL C -0.23%
NUVL D -0.22%
ACLX D -0.21%
MRUS B -0.21%
RYTM D -0.21%
RCKT F -0.2%
PTCT C -0.2%
NTLA F -0.2%
TWST D -0.19%
AGIO A -0.19%
ARVN D -0.19%
KYMR D -0.19%
SNDX C -0.18%
DNLI F -0.18%
IMVT F -0.18%
RNA A -0.18%
MYGN D -0.17%
GLPG F -0.17%
GERN A -0.17%
KROS D -0.16%
DVAX F -0.16%
VCYT D -0.16%
BEAM F -0.16%
JANX A -0.16%
PTGX D -0.15%
GRFS F -0.15%
ADMA A -0.15%
ZLAB F -0.14%
VERA D -0.14%
NVCR F -0.13%
DYN C -0.13%
FUSN A -0.13%
GPCR F -0.13%
INBX D -0.13%
KURA C -0.13%
IRWD F -0.13%
MORF F -0.12%
MNKD D -0.12%
AKRO F -0.12%
XNCR D -0.12%
RXRX F -0.12%
LGND D -0.12%
APGE D -0.11%
FDMT D -0.11%
DNA F -0.11%
MIRM D -0.1%
SANA B -0.1%
PRTA F -0.1%
EWTX B -0.1%
STVN F -0.1%
MRVI D -0.09%
TARS D -0.09%
BCRX F -0.09%
MGNX D -0.09%
ARQT D -0.09%
ZNTL F -0.08%
VRNA F -0.08%
RGNX F -0.08%
BCYC D -0.08%
ABCL F -0.08%
SRRK D -0.08%
DAWN B -0.08%
AUPH F -0.07%
ARCT F -0.07%
CTKB F -0.07%
SAGE F -0.07%
VIR F -0.07%
AUTL F -0.07%
KNSA C -0.07%
ETNB F -0.07%
DCPH A -0.07%
RCUS D -0.07%
CGEM A -0.06%
NVAX F -0.06%
ZYME F -0.06%
QTRX F -0.06%
NRIX D -0.06%
RLAY F -0.06%
PLRX F -0.06%
FULC D -0.05%
EDIT F -0.05%
ANAB D -0.05%
OPK C -0.05%
ALXO A -0.05%
OLMA D -0.05%
YMAB D -0.05%
CSTL B -0.05%
COGT F -0.05%
IRON F -0.04%
HUMA B -0.04%
SPRY D -0.04%
MXCT F -0.04%
VERV F -0.04%
ALEC D -0.04%
CMPS F -0.04%
ABUS B -0.04%
PACB F -0.04%
ELVN B -0.04%
TNGX D -0.04%
ADPT F -0.04%
CDNA D -0.04%
NUVB B -0.04%
URGN F -0.04%
EXAI F -0.04%
FLGT F -0.04%
WVE F -0.04%
TVTX F -0.04%
CABA F -0.04%
TBPH D -0.04%
CNTA D -0.04%
MGTX F -0.03%
RAPT F -0.03%
VNDA B -0.03%
TRML F -0.03%
LYEL D -0.03%
SLRN F -0.03%
KALV D -0.03%
IMMP B -0.03%
REPL F -0.03%
AVXL F -0.03%
AVIR D -0.03%
BMEA F -0.03%
TSHA D -0.03%
CRBU F -0.03%
SVRA D -0.03%
SMMT D -0.03%
ALLO F -0.03%
ITOS D -0.03%
ORIC F -0.03%
RVNC F -0.03%
VYGR F -0.03%
THRD B -0.02%
MLYS D -0.02%
PRME F -0.02%
ERAS D -0.02%
PGEN D -0.02%
TERN F -0.02%
BLUE F -0.02%
OVID D -0.02%
VTYX F -0.02%
QURE F -0.02%
CHRS F -0.02%
NBTX F -0.02%
CVAC F -0.02%
ATAI D -0.02%
PHAT F -0.02%
MRNS F -0.01%
ACRS D -0.01%
AMLX F -0.01%
NAUT F -0.01%
ACIU F -0.01%
RNAC C -0.0%
RPHM D -0.0%
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