BOXX was created on 2022-12-28 by Alpha Architect. The fund's investment portfolio concentrates primarily on investment grade fixed income. The ETF currently has 6774.25m in AUM and 3 holdings. BOXX is actively managed. The fund seeks to provide the price and yield performance of 1-3 month US Treasury Bills", less fees and expenses", through the use of box spreads.
TSLW was created on 2025-02-19 by Roundhill. The fund's investment portfolio concentrates primarily on consumer discretionary equity. TSLW is an actively managed fund seeking to provide weekly distributions and 1.2x leveraged exposure to the weekly price return of Tesla stock (TSLA).
Key Details
Dec 28, 2022
Feb 19, 2025
Fixed Income
Equity
Investment Grade
Consumer Discretionary
-
Information on this page is obtained from our data provider, Xignite, an unaffiliated third party. Double believes the information shown here is reliable, but has not been verified and there is no guarantee that the information is accurate. We also show information based on calculations performed by Double using data from our provider. Double believes this information is reliable, but has not verified the data and there is no guarantee that the calculations are accurate.
Name | Correlation | Market Cap | Return % (1 Year) | Div Yield % |
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Name | Correlation | AUM | Expense Ratio |
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Name | Correlation | AUM | Expense Ratio |
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Name | Correlation | AUM | Expense Ratio |
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Name | Correlation | Market Cap | Return % (1 Year) | Div Yield % |
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SeekingAlpha
HTUS: This Market Timing ETF Still Has To Prove Itself
SeekingAlpha
Discover BOXX: A high-yield, tax-efficient, low-risk cash alternative. Enhance after-tax returns while diversifying your cash holdings.
SeekingAlpha
CSHI: T-Bills And Options ETF, 5.0% Distribution Yield, Little Risk Or Volatility
SeekingAlpha
BOXX: SA Quant's Favorite Cash ETF
SeekingAlpha
Tariffs, inflation threats, and recession fears call for smart allocationâgold, bonds, and America-first stocks could be key. Read the full strategy here.
SeekingAlpha
BOXX ETF offers steady returns, tax efficiency, and outperforms BIL in volatile markets. Read why BOXX is ideal for high-income investors.
Name | Correlation | Market Cap | Return % (1 Year) | Div Yield % |
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Name | Correlation | Market Cap | Return % (1 Year) | Div Yield % |
---|---|---|---|---|
CYCN | 24.70% | $10.59M | +13.01% | 0.00% |
MSTR | 24.67% | $123.31B | +179.91% | 0.00% |
MRVL | 22.49% | $62.52B | -1.48% | 0.32% |
BNS | 22.19% | $67.98B | +15.76% | 5.63% |
AMED | 22.11% | $3.21B | -0.19% | 0.00% |
CHMI | 21.99% | $89.16M | -28.72% | 21.98% |
TMDX | 21.79% | $3.95B | -19.03% | 0.00% |
PKST | 21.49% | $513.35M | -0.57% | 6.48% |
OLLI | 21.48% | $7.87B | +23.96% | 0.00% |
INBK | 21.46% | $241.43M | -15.60% | 0.86% |
CCRN | 21.46% | $396.02M | -14.20% | 0.00% |
SBGI | 21.12% | $1.08B | +2.17% | 6.40% |
FBRT | 20.74% | $992.08M | -16.73% | 12.93% |
HIW | 20.51% | $3.44B | +11.96% | 6.28% |
GNL | 20.35% | $1.66B | -8.72% | 12.42% |
EFC | 20.14% | $1.25B | +2.31% | 11.72% |
LTRN | 20.11% | $43.03M | -8.28% | 0.00% |
UTI | 19.88% | $1.73B | +87.49% | 0.00% |
GKOS | 19.60% | $5.95B | -15.41% | 0.00% |
CSTE | 19.59% | $61.51M | -68.88% | 0.00% |
Alpha Architect 1 3 Month Box ETF - BOXX is made up of 1 holdings. Roundhill TSLA WeeklyPay ETF - TSLW is made up of 0 holdings.
Name | Weight |
---|---|
F FGXXXNT First American Government Obligs X | 0.01% |
Name | Weight |
---|---|
Name | Correlation | AUM | Expense Ratio | |
---|---|---|---|---|
ICLO | -13.35% | $332.76M | 0.19% | |
USL | -9.59% | $43.14M | 0.85% | |
DBE | -9.47% | $53.74M | 0.77% | |
OILK | -9.11% | $72.70M | 0.69% | |
PPLT | -8.77% | $1.67B | 0.6% | |
UGA | -8.77% | $75.20M | 0.97% | |
CLOI | -8.63% | $1.06B | 0.4% | |
LDUR | -8.61% | $907.64M | 0.5% | |
IVOL | -8.60% | $341.06M | 1.02% | |
VIXY | -8.59% | $200.94M | 0.85% | |
TAIL | -8.25% | $94.90M | 0.59% | |
WEAT | -8.11% | $124.92M | 0.28% | |
BNO | -8.08% | $108.34M | 1% | |
AGZD | -8.02% | $98.57M | 0.23% | |
USO | -7.89% | $1.03B | 0.6% | |
COMT | -7.66% | $612.23M | 0.48% | |
DBO | -7.61% | $228.22M | 0.77% | |
GSG | -7.49% | $1.01B | 0.75% | |
BSMR | -7.10% | $258.73M | 0.18% | |
VIXM | -7.03% | $22.99M | 0.85% |
BOXX - Alpha Architect 1 3 Month Box ETF and TSLW - Roundhill TSLA WeeklyPay ETF have a 0 holding overlap. Which accounts for a 0.0% overlap.
Number of overlapping holdings
0
% of overlapping holdings
0%
Name | Weight in BOXX | Weight in TSLW |
---|---|---|
Name | Correlation | AUM | Expense Ratio | |
---|---|---|---|---|
SGOV | 42.16% | $50.94B | 0.09% | |
SHV | 40.79% | $20.75B | 0.15% | |
GBIL | 37.02% | $6.37B | 0.12% | |
BIL | 36.78% | $41.78B | 0.1356% | |
USFR | 31.81% | $18.61B | 0.15% | |
TBIL | 31.80% | $5.74B | 0.15% | |
CLIP | 30.14% | $1.51B | 0.07% | |
BILS | 29.90% | $3.80B | 0.1356% | |
XBIL | 27.80% | $781.34M | 0.15% | |
BILZ | 26.56% | $852.10M | 0.14% | |
IBDQ | 25.84% | $2.96B | 0.1% | |
VRIG | 24.30% | $1.21B | 0.3% | |
TBLL | 24.17% | $2.12B | 0.08% | |
MINT | 23.34% | $13.33B | 0.35% | |
PULS | 22.64% | $11.75B | 0.15% | |
TFLO | 20.64% | $6.73B | 0.15% | |
YBTC | 20.32% | $239.20M | 0.96% | |
HYDR | 20.28% | $34.96M | 0.5% | |
BTF | 20.15% | $34.61M | 1.25% | |
XHLF | 19.95% | $1.73B | 0.03% |
Name | Correlation | Market Cap | Return % (1 Year) | Div Yield % |
---|---|---|---|---|
PSQH | -35.82% | $113.85M | -36.39% | 0.00% |
DFDV | -14.98% | $361.15M | +2,667.20% | 0.00% |
GOGL | -13.44% | $1.65B | -37.69% | 9.71% |
ASPS | -13.37% | $150.77M | +23.72% | 0.00% |
ABEV | -12.35% | $36.61B | +9.35% | 5.60% |
MP | -11.92% | $7.93B | +217.12% | 0.00% |
MUX | -11.88% | $587.93M | +7.40% | 0.00% |
PEP | -11.36% | $185.88B | -17.26% | 4.07% |
STNG | -11.08% | $2.33B | -40.74% | 3.56% |
HSY | -11.07% | $33.41B | -12.71% | 3.32% |
ASC | -10.45% | $415.58M | -49.00% | 6.77% |
INSW | -10.32% | $1.94B | -24.29% | 1.23% |
NOC | -10.29% | $75.00B | +20.65% | 1.63% |
VTS | -10.00% | $905.10M | -8.29% | 9.22% |
AXSM | -9.79% | $5.53B | +35.66% | 0.00% |
PRPH | -9.63% | $17.66M | -86.80% | 0.00% |
EPM | -9.45% | $166.05M | -14.34% | 9.96% |
SOL | -9.30% | $98.54M | +9.09% | 0.00% |
GSK | -8.96% | $77.41B | -0.98% | 4.17% |
INVX | -8.91% | $1.12B | -6.40% | 0.00% |
Name | Correlation | AUM | Expense Ratio | |
---|---|---|---|---|
VDE | 0.02% | $7.32B | 0.09% | |
RING | 0.03% | $1.44B | 0.39% | |
COM | 0.05% | $210.46M | 0.72% | |
FTXN | -0.08% | $124.84M | 0.6% | |
SILJ | -0.13% | $1.50B | 0.69% | |
IEZ | -0.14% | $115.69M | 0.4% | |
FLBR | 0.17% | $205.75M | 0.19% | |
GUNR | 0.19% | $4.83B | 0.46% | |
JBBB | 0.21% | $1.33B | 0.48% | |
XOP | -0.22% | $1.87B | 0.35% | |
STXT | 0.23% | $128.89M | 0.49% | |
GCC | 0.24% | $140.41M | 0.55% | |
RSPG | 0.24% | $440.07M | 0.4% | |
HDV | -0.24% | $11.29B | 0.08% | |
IXC | 0.24% | $1.79B | 0.41% | |
DRLL | -0.27% | $274.71M | 0.41% | |
IYE | 0.30% | $1.21B | 0.39% | |
AGGH | -0.31% | $323.85M | 0.29% | |
FENY | -0.37% | $1.41B | 0.084% | |
PALL | 0.41% | $534.44M | 0.6% |
Name | Correlation | Market Cap | Return % (1 Year) | Div Yield % |
---|---|---|---|---|
VHC | <0.01% | $74.47M | +193.32% | 0.00% |
MEDP | -0.01% | $9.21B | -27.92% | 0.00% |
LQDT | 0.02% | $754.29M | +19.37% | 0.00% |
DOW | -0.02% | $19.97B | -46.97% | 9.72% |
ASTH | 0.02% | $1.25B | -47.22% | 0.00% |
DG | 0.03% | $25.17B | -9.90% | 2.08% |
SSSS | -0.03% | - | - | 0.00% |
HLIO | 0.03% | $1.15B | -24.62% | 1.03% |
QLYS | -0.05% | $5.06B | -2.48% | 0.00% |
NTCT | 0.05% | $1.58B | +18.25% | 0.00% |
D | 0.05% | $48.78B | +12.09% | 4.68% |
ARRY | -0.05% | $1.13B | -33.42% | 0.00% |
GWRE | -0.06% | $18.71B | +57.33% | 0.00% |
BHC | 0.06% | $2.34B | -13.39% | 0.00% |
CMCO | -0.07% | $452.38M | -55.82% | 1.75% |
LPRO | 0.08% | $299.47M | -58.75% | 0.00% |
SYPR | 0.08% | $47.57M | +11.87% | 0.00% |
NE | 0.08% | $4.56B | -39.72% | 6.93% |
LBRT | 0.08% | $1.99B | -43.21% | 2.56% |
DEO | 0.09% | $56.61B | -21.14% | 4.06% |