We performed a screening of mid-cap ETFs, defined as having Assets Under Management (AUM) between $2 billion and $10 billion - to determine what funds had the largest positive and negative returns on the week, according to data from etfdb.com. Only non-leveraged funds were considered.
Winners
iShares Expanded Tech Sector ETF (NYSE:IGM)
IGM is up 2.68% over the trailing week.
The iShares Expanded Tech Sector ETF offers exposure to the U.S. tech market. It is a relatively low-cost option and extremely liquid.
The fund has $3.15 billion in AUM and an expense ratio of 0.41%. IGM has holdings in 280 companies, with the 10 largest comprising 54.72% of the fund.
The fund's largest holdings are Alphabet Inc. Class A (NASDAQ:GOOGL) and Apple Inc. (NASDAQ:AAPL) making up 8.83% and 8.68% of the fund, respectively.
IGM is up 40.52% YTD.
iShares Russell Top 200 Growth ETF (NYSE:IWY)
IWY is up 2.34% over the trailing week.
The iShares Russell Top 200 Growth ETF tracks the Russell Top 200 Growth Index, offering exposure to large-cap companies within the growth sector of the U.S. equity market.
IWY has $6.53 billion in AUM and an expense ratio of 0.20%. The fund has holdings in 112 companies, with the 10 largest comprising 59.90% of the fund.
The fund's largest holdings are Apple Inc (NASDAQ:AAPL) and Microsoft Corporation (NASDAQ:MSFT) making up 14.23% and 13.08% of the fund, respectively.
IWY is up 31.33% YTD.
Losers
Vanguard Extended Duration Treasury ETF (NYSE:EDV)
EDV is down 6.17% over the trailing week.
The Vanguard Extended Duration Treasury ETF provides exposure to long-dated US treasuries. The maturity dates range from 20 to 30 years.
The fund has $2.15 billion in AUM and an expense ratio of .06%.
EDV is down 19.40% YTD.
VanEck Oil Services ETF (NYSE:OIH)
OIH is down 5.78% over the trailing week.
The VanEck Oil Services ETF tracks the 25 largest US-listed Oil companies involved in the exploration, drilling, and refining of oil. Some of the equities, about a quarter, are foreign companies listed in both their local exchanges and a US exchange.
The fund has $2.34 billion in AUM and an expense ratio of 0.35%. OIH has holdings in 26 companies, with the 10 largest comprising 72.94% of the fund.
The fund's largest holdings are Schlumberger N.V. (NYSE:SLB) and Halliburton Company (NYSE:HAL) making up 19.99% and 11.52% of the fund, respectively.
OIH is up 6.92% YTD.
根據etfdb.com的數據,我們對中型股交易所買賣基金(定義爲管理的資產(AUM)在20億至100億美元之間進行了篩選,以確定本週哪些基金的正回報和負回報最大。只考慮非槓桿基金。
贏家
iShares 擴大科技板塊交易所買賣基金 (紐約證券交易所代碼:IGM)
在過去的一週中,IGM上漲了2.68%。
iShares擴張科技板塊ETF提供對美國科技市場的敞口。這是一種相對低成本的選擇,而且流動性極強。
該基金的資產管理規模爲31.5億美元,支出比率爲0.41%。IGM持有280家公司,其中最大的10家公司佔該基金的54.72%。
該基金最大的持股是 Alphabet Inc. (納斯達克股票代碼:GOOGL)和 蘋果公司 (納斯達克股票代碼:AAPL)分別佔該基金的8.83%和8.68%。
年初至今,IGM上漲了40.52%。
iShares Russell 增長前200強ETF (紐約證券交易所代碼:IWY)
在過去的一週中,IWY上漲了2.34%。
iShares Russell增長前200強ETF追蹤羅素前200強增長指數,爲美國股票市場成長型領域的大盤股公司提供敞口。
IWY的資產管理規模爲65.3億美元,支出比率爲0.20%。該基金持有112家公司,其中最大的10家公司佔該基金的59.90%。
該基金最大的持股是 蘋果公司 (納斯達克股票代碼:AAPL)和 微軟公司 納斯達克股票代碼:MSFT)分別佔該基金的14.23%和13.08%。
IWY年初至今上漲了31.33%。
失敗者
Vanguard 延期美國國債 (紐約證券交易所代碼:EDV)
在過去的一週中,EDV下跌了6.17%。
Vanguard延長期國債ETF提供長期美國國債的敞口。到期日從20年到30年不等。
該基金的資產管理規模爲21.5億美元,支出比率爲0.06%。
年初至今,EDV下跌了19.40%。
VanEck 石油服務ETF (紐約證券交易所代碼:OIH)
OIH在過去一週內下跌了5.78%。
VanEck Oil Services ETF追蹤參與石油勘探、鑽探和提煉的25家最大的美國上市石油公司。其中一些股票(約四分之一)是在當地交易所和美國交易所上市的外國公司。
該基金的資產管理規模爲23.4億美元,支出比率爲0.35%。OIH持有26家公司,其中最大的10家公司佔該基金的72.94%。
該基金最大的持股是 Schlumberger N.V. (紐約證券交易所代碼:SLB)和 哈里伯頓公司 紐約證券交易所代碼:HAL)分別佔該基金的19.99%和11.52%。
OIH年初至今上漲6.92%。