QQQY was created on 2023-09-14 by Defiance. The fund's investment portfolio concentrates primarily on large cap equity. QQQY seeks to provide monthly income by actively placing bullish bets on the Nasdaq-100 Index through a 0DTE put option writing strategy. The secondary objective of the fund is to seek limited exposure to the performance of the index.
XLV was created on 1998-12-16 by SPDR. The fund's investment portfolio concentrates primarily on health care equity. XLV tracks health care stocks from within the S&P 500 Index", weighted by market cap.
Key Details
Sep 14, 2023
Dec 16, 1998
Equity
Equity
Large Cap
Health Care
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.
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QQQY will rebrand itself and change strategy around May 27, 2025. Click here to read more about QQQY ETF and why it is recommended as a Hold.
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QDTE ETF's unique 0DTE strategy, leveraging Nasdaq 100 volatility for income. Ideal for aggressive investors in turbulent markets. Click here to read more.
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QQQY and QDTE both sell daily options, expiring 0DTE or on the same day they are sold. Read why QQQY ETF is a Hold and QDTE ETF is a Buy.
Name | Correlation | Market Cap | Return % (1 Year) | Div Yield % |
---|---|---|---|---|
APH | 73.36% | $104.52B | +29.59% | 0.70% |
ETN | 72.75% | $128.85B | -1.19% | 1.20% |
NVDA | 72.05% | $3.31T | +43.04% | 0.03% |
MKSI | 71.54% | $5.93B | -33.29% | 0.99% |
LRCX | 71.36% | $107.22B | -11.02% | 5.69% |
SNPS | 70.49% | $79.79B | -10.16% | 0.00% |
KLAC | 70.37% | $104.07B | +1.84% | 0.87% |
ANET | 70.37% | $121.45B | +21.11% | 0.00% |
ASX | 69.71% | $21.47B | -8.94% | 3.22% |
MSFT | 69.21% | $3.41T | +7.88% | 0.71% |
AMZN | 69.02% | $2.19T | +12.32% | 0.00% |
VRT | 69.01% | $40.55B | +7.13% | 0.12% |
ANSS | 68.96% | $30.24B | +4.68% | 0.00% |
AMAT | 68.87% | $134.82B | -24.56% | 0.97% |
TSM | 68.81% | $1.00T | +26.02% | 1.28% |
MPWR | 68.75% | $33.63B | -7.08% | 0.76% |
JHG | 68.65% | $6.05B | +11.70% | 4.10% |
QCOM | 68.64% | $168.76B | -22.28% | 2.23% |
ARES | 68.51% | $36.84B | +16.66% | 2.33% |
MRVL | 68.14% | $54.04B | -15.99% | 0.40% |
Name | Correlation | Market Cap | Return % (1 Year) | Div Yield % |
---|---|---|---|---|
ED | -26.17% | $37.97B | +9.19% | 3.17% |
CBOE | -22.48% | $23.50B | +22.83% | 1.09% |
AWK | -19.97% | $28.03B | +7.59% | 2.17% |
JNJ | -18.09% | $366.90B | +0.81% | 3.23% |
BCE | -16.36% | $19.88B | -36.69% | 13.03% |
WTRG | -15.38% | $10.98B | -0.36% | 3.32% |
EXC | -15.06% | $44.81B | +15.42% | 3.50% |
TU | -14.43% | $24.06B | -3.64% | 7.08% |
K | -14.22% | $28.59B | +32.73% | 2.75% |
AEP | -13.95% | $55.44B | +12.09% | 3.53% |
DUK | -13.00% | $90.93B | +12.86% | 3.55% |
GIS | -12.95% | $30.02B | -23.24% | 4.37% |
MO | -12.64% | $100.17B | +29.56% | 6.73% |
SO | -12.63% | $98.34B | +12.99% | 3.22% |
CAG | -11.72% | $10.98B | -25.07% | 6.03% |
CHD | -10.92% | $23.64B | -9.90% | 1.20% |
AMT | -10.86% | $100.71B | +12.19% | 3.05% |
AWR | -9.63% | $3.09B | +3.55% | 2.33% |
MSEX | -9.43% | $1.06B | +4.30% | 2.27% |
CWT | -8.55% | $2.87B | -8.65% | 2.43% |
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VGT's concentration in top holdings, high tech valuations, and lack of diversification make it a sell.
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Logan Ridge Finance Corporation faces significant challenges, including declining net investment income. Read why I recommend avoiding LRFC stock.
Name | Correlation | AUM | Expense Ratio | |
---|---|---|---|---|
TAIL | -79.89% | $140.64M | 0.59% | |
VIXY | -77.82% | $116.60M | 0.85% | |
BTAL | -63.28% | $361.71M | 1.43% | |
IVOL | -33.93% | $353.50M | 1.02% | |
FXY | -32.79% | $850.17M | 0.4% | |
SPTS | -32.53% | $5.74B | 0.03% | |
XONE | -29.70% | $608.48M | 0.03% | |
UTWO | -28.92% | $384.77M | 0.15% | |
VGSH | -26.24% | $22.36B | 0.03% | |
SCHO | -25.43% | $10.84B | 0.03% | |
IBTG | -23.22% | $1.89B | 0.07% | |
IBTI | -22.87% | $1.00B | 0.07% | |
IBTJ | -21.77% | $662.50M | 0.07% | |
IEI | -21.03% | $16.03B | 0.15% | |
IBTK | -19.83% | $434.50M | 0.07% | |
IBTH | -19.66% | $1.53B | 0.07% | |
FTSD | -19.53% | $212.61M | 0.25% | |
VGIT | -18.70% | $31.42B | 0.04% | |
SPTI | -18.50% | $8.76B | 0.03% | |
IBTL | -18.44% | $368.52M | 0.07% |
Name | Correlation | AUM | Expense Ratio | |
---|---|---|---|---|
QDTE | 92.85% | $749.17M | 0.95% | |
ISPY | 91.14% | $789.50M | 0.55% | |
XDTE | 89.70% | $389.83M | 0.95% | |
FEPI | 88.37% | $448.99M | 0.65% | |
JGRO | 88.17% | $5.63B | 0.44% | |
IVW | 88.17% | $56.68B | 0.18% | |
VOOG | 88.13% | $16.48B | 0.07% | |
ILCG | 88.03% | $2.52B | 0.04% | |
SPYG | 88.00% | $34.50B | 0.04% | |
IUSG | 87.81% | $21.96B | 0.04% | |
WINN | 87.75% | $832.20M | 0.57% | |
QQQM | 87.57% | $47.67B | 0.15% | |
QGRW | 87.49% | $1.32B | 0.28% | |
QQQ | 87.48% | $329.34B | 0.2% | |
IWF | 87.44% | $105.94B | 0.19% | |
SFY | 87.42% | $476.24M | 0.05% | |
IWY | 87.42% | $13.08B | 0.2% | |
VUG | 87.41% | $164.16B | 0.04% | |
IGM | 87.39% | $6.02B | 0.41% | |
SCHG | 87.37% | $40.92B | 0.04% |
QQQY - Defiance Nasdaq 100 Enhanced Options & 0DTE Income ETF and XLV - Health Care Select Sector SPDR have a 0 holding overlap. Which accounts for a 0.0% overlap.
Number of overlapping holdings
0
% of overlapping holdings
0%
Name | Weight in QQQY | Weight in XLV |
---|---|---|
Name | Correlation | AUM | Expense Ratio | |
---|---|---|---|---|
SGOV | -<0.01% | $45.79B | 0.09% | |
JMUB | 0.05% | $2.82B | 0.18% | |
IAGG | 0.05% | $7.31B | 0.07% | |
IBDS | -0.07% | $3.02B | 0.1% | |
TPMN | 0.09% | $31.59M | 0.65% | |
GTIP | -0.11% | $145.57M | 0.12% | |
TIPX | 0.11% | $1.64B | 0.15% | |
MINO | -0.20% | $318.17M | 0.39% | |
ICSH | 0.28% | $6.10B | 0.08% | |
HYD | 0.31% | $3.37B | 0.32% | |
JCPB | 0.54% | $6.28B | 0.38% | |
GCOR | -0.56% | $538.61M | 0.08% | |
FLIA | 0.57% | $665.81M | 0.25% | |
IBTF | -0.67% | $2.11B | 0.07% | |
SCMB | 0.70% | $1.95B | 0.03% | |
IBMP | 0.71% | $532.08M | 0.18% | |
BAB | 0.79% | $920.67M | 0.28% | |
DFIP | 0.81% | $878.16M | 0.11% | |
TDTF | -0.84% | $792.63M | 0.18% | |
SCHJ | 0.86% | $520.88M | 0.03% |
Name | Correlation | AUM | Expense Ratio | |
---|---|---|---|---|
TAIL | -49.79% | $140.64M | 0.59% | |
VIXY | -48.19% | $116.60M | 0.85% | |
TPMN | -31.37% | $31.59M | 0.65% | |
IVOL | -21.00% | $353.50M | 1.02% | |
CLIP | -19.90% | $1.51B | 0.07% | |
BTAL | -14.78% | $361.71M | 1.43% | |
FTSD | -14.01% | $212.61M | 0.25% | |
SHYM | -11.99% | $323.00M | 0.35% | |
XONE | -10.88% | $608.48M | 0.03% | |
TBLL | -9.49% | $2.38B | 0.08% | |
ULST | -8.72% | $632.05M | 0.2% | |
CANE | -8.56% | $10.45M | 0.29% | |
KCCA | -8.54% | $95.62M | 0.87% | |
GBIL | -8.34% | $6.16B | 0.12% | |
XHLF | -7.16% | $1.46B | 0.03% | |
BIL | -6.99% | $45.46B | 0.1356% | |
SPTS | -6.34% | $5.74B | 0.03% | |
FXY | -5.43% | $850.17M | 0.4% | |
TFLO | -4.25% | $7.02B | 0.15% | |
BILZ | -3.87% | $901.37M | 0.14% |
Name | Correlation | Market Cap | Return % (1 Year) | Div Yield % |
---|---|---|---|---|
PG | -0.11% | $386.31B | -1.52% | 2.47% |
UUU | 0.26% | $4.96M | +44.93% | 0.00% |
HAIN | 0.34% | $186.82M | -71.53% | 0.00% |
FLO | -0.36% | $3.62B | -29.61% | 5.61% |
AGL | -0.44% | $968.65M | -56.34% | 0.00% |
FTS | 0.46% | $23.87B | +16.53% | 3.64% |
CYCN | 0.47% | $9.99M | +11.27% | 0.00% |
D | -0.58% | $47.93B | +4.50% | 4.58% |
MCK | 0.69% | $90.88B | +28.79% | 0.38% |
FMTO | -0.74% | $46.19M | -99.95% | 0.00% |
ELS | 0.89% | $12.50B | +1.85% | 2.98% |
KHC | 0.91% | $33.00B | -22.08% | 5.72% |
DADA | 1.03% | $528.70M | +7.94% | 0.00% |
PPL | 1.31% | $25.89B | +18.27% | 2.99% |
REYN | -1.34% | $4.86B | -21.09% | 3.95% |
POR | 1.40% | $4.68B | -4.90% | 4.67% |
XEL | -1.46% | $41.75B | +28.79% | 3.04% |
LMT | -1.51% | $110.84B | +1.28% | 2.73% |
VSTA | -1.52% | $323.21M | +12.26% | 0.00% |
CLX | -1.74% | $16.62B | +0.01% | 3.58% |
Name | Correlation | Market Cap | Return % (1 Year) | Div Yield % |
---|---|---|---|---|
AIFU | -9.13% | $10.03M | -94.68% | 0.00% |
FMTO | -5.76% | $46.19M | -99.95% | 0.00% |
VSA | -3.95% | $6.80M | -46.67% | 0.00% |
BTCT | -3.91% | $26.25M | +79.76% | 0.00% |
UUU | -3.64% | $4.96M | +44.93% | 0.00% |
LTM | -3.06% | $10.85B | -96.77% | 2.73% |
STG | -2.41% | $28.09M | -38.64% | 0.00% |
MVO | -2.16% | $67.97M | -37.26% | 21.16% |
CNK | -1.93% | $3.64B | +79.07% | 0.25% |
CARV | -1.08% | $7.35M | -25.13% | 0.00% |
RLX | -0.19% | $1.78B | -1.51% | 0.49% |
K | -0.17% | $28.59B | +32.73% | 2.75% |
POAI | -0.03% | $8.93M | -40.83% | 0.00% |
VRCA | 0.03% | $59.55M | -92.60% | 0.00% |
HEES | 0.10% | $3.52B | +97.88% | 1.15% |
CPSH | 0.37% | $30.36M | +19.70% | 0.00% |
PULM | 0.43% | $23.74M | +229.95% | 0.00% |
SAVA | 0.67% | $100.00M | -90.63% | 0.00% |
VHC | 0.70% | $35.49M | +75.53% | 0.00% |
VSTA | 0.81% | $323.21M | +12.26% | 0.00% |
Name | Correlation | AUM | Expense Ratio | |
---|---|---|---|---|
IYH | 99.58% | $2.72B | 0.39% | |
VHT | 99.16% | $14.85B | 0.09% | |
FHLC | 99.00% | $2.39B | 0.084% | |
IXJ | 97.31% | $3.75B | 0.41% | |
RSPH | 91.32% | $749.28M | 0.4% | |
FXH | 86.98% | $896.15M | 0.62% | |
PPH | 86.24% | $606.07M | 0.36% | |
IHE | 85.39% | $549.83M | 0.39% | |
BBH | 82.09% | $326.56M | 0.35% | |
USMV | 80.96% | $24.20B | 0.15% | |
PINK | 80.68% | $129.38M | 0.5% | |
IBB | 79.13% | $5.17B | 0.45% | |
FTCS | 78.56% | $8.48B | 0.54% | |
FBT | 78.54% | $1.00B | 0.56% | |
NOBL | 77.38% | $11.58B | 0.35% | |
KNG | 77.10% | $3.75B | 0.75% | |
LGLV | 76.76% | $1.07B | 0.12% | |
FVD | 76.35% | $9.05B | 0.6% | |
DGRO | 76.33% | $30.95B | 0.08% | |
MGV | 76.09% | $9.00B | 0.07% |
Name | Correlation | Market Cap | Return % (1 Year) | Div Yield % |
---|---|---|---|---|
TMO | 71.85% | $156.25B | -30.32% | 0.39% |
AMGN | 69.36% | $148.33B | -12.30% | 3.35% |
IQV | 68.66% | $24.83B | -37.62% | 0.00% |
DHR | 67.50% | $140.56B | -26.47% | 0.57% |
LIN | 66.28% | $216.69B | +6.41% | 1.23% |
MTD | 65.01% | $24.09B | -23.66% | 0.00% |
AVB | 64.68% | $29.70B | +5.68% | 3.29% |
SPGI | 64.42% | $160.80B | +19.77% | 0.71% |
RVTY | 64.32% | $11.12B | -15.82% | 0.30% |
ALC | 64.21% | $44.20B | +1.43% | 0.37% |
TECH | 63.92% | $7.73B | -40.27% | 0.65% |
SYK | 63.76% | $150.84B | +19.70% | 0.84% |
MCO | 63.75% | $88.53B | +19.28% | 0.73% |
MMC | 63.63% | $114.23B | +10.84% | 1.41% |
PFE | 62.87% | $130.76B | -19.38% | 7.20% |
GEHC | 62.21% | $33.47B | -10.58% | 0.18% |
A | 61.56% | $32.34B | -26.64% | 0.85% |
ESS | 60.82% | $18.45B | +8.76% | 3.47% |
BR | 60.79% | $28.52B | +21.16% | 1.42% |
UDR | 60.71% | $13.99B | +7.21% | 4.04% |
Name | Correlation | Market Cap | Return % (1 Year) | Div Yield % |
---|---|---|---|---|
VRCA | 0.03% | $59.55M | -92.60% | 0.00% |
POAI | -0.03% | $8.93M | -40.83% | 0.00% |
HEES | 0.10% | $3.52B | +97.88% | 1.15% |
K | -0.17% | $28.59B | +32.73% | 2.75% |
RLX | -0.19% | $1.78B | -1.51% | 0.49% |
CPSH | 0.37% | $30.36M | +19.70% | 0.00% |
PULM | 0.43% | $23.74M | +229.95% | 0.00% |
SAVA | 0.67% | $100.00M | -90.63% | 0.00% |
VHC | 0.70% | $35.49M | +75.53% | 0.00% |
VSTA | 0.81% | $323.21M | +12.26% | 0.00% |
AQB | 1.02% | $3.17M | -56.89% | 0.00% |
CARV | -1.08% | $7.35M | -25.13% | 0.00% |
HUSA | 1.21% | $9.90M | -54.29% | 0.00% |
HIHO | 1.42% | $8.36M | -10.75% | 3.76% |
RLMD | 1.92% | $16.89M | -84.29% | 0.00% |
CNK | -1.93% | $3.64B | +79.07% | 0.25% |
MVO | -2.16% | $67.97M | -37.26% | 21.16% |
STG | -2.41% | $28.09M | -38.64% | 0.00% |
CRVO | 2.45% | $76.50M | -55.47% | 0.00% |
EVGO | 2.73% | $499.11M | +78.85% | 0.00% |
Name | Correlation | AUM | Expense Ratio | |
---|---|---|---|---|
BSMW | -0.06% | $102.64M | 0.18% | |
SCHO | -0.23% | $10.84B | 0.03% | |
VGSH | -0.29% | $22.36B | 0.03% | |
UTWO | -0.89% | $384.77M | 0.15% | |
UUP | -1.19% | $279.52M | 0.77% | |
XBIL | 1.61% | $778.12M | 0.15% | |
IBTH | 1.98% | $1.53B | 0.07% | |
IBTG | 2.02% | $1.89B | 0.07% | |
WEAT | 2.12% | $118.73M | 0.28% | |
BWX | 2.16% | $1.42B | 0.35% | |
BILS | -2.40% | $3.95B | 0.1356% | |
FXE | -2.52% | $516.25M | 0.4% | |
GSST | 2.56% | $873.92M | 0.16% | |
UGA | 2.72% | $72.41M | 0.97% | |
UDN | 2.72% | $137.89M | 0.78% | |
BOXX | 2.93% | $6.29B | 0.19% | |
FMF | -3.14% | $152.66M | 0.95% | |
JPLD | 3.40% | $1.19B | 0.24% | |
JMST | 3.48% | $3.68B | 0.18% | |
CTA | -3.54% | $1.06B | 0.76% |
Defiance Nasdaq 100 Enhanced Options & 0DTE Income ETF - QQQY is made up of 7 holdings. Health Care Select Sector SPDR - XLV is made up of 60 holdings.
Name | Weight |
---|---|
7 7008469NT United States Treasury Notes 3.88% | 25.31% |
7 7008182NT United States Treasury Notes 3% | 22.43% |
7 7381444NT United States Treasury Bills 0% | 14.88% |
7 7381371NT United States Treasury Bills 0% | 13.74% |
7 7381488NT United States Treasury Bills 0% | 8.29% |
F FGXXXNT First American Government Obligs X | 4.72% |
7 7008394NT United States Treasury Notes 4.25% | 1.20% |
Name | Weight |
---|---|
12.17% | |
7.51% | |
![]() | 6.70% |
5.94% | |
4.81% | |
4.10% | |
4.00% | |
3.24% | |
3.21% | |
![]() | 3.03% |
2.77% | |
2.71% | |
![]() | 2.67% |
2.57% | |
2.31% | |
2.28% | |
1.96% | |
1.92% | |
1.86% | |
1.80% | |
1.62% | |
![]() | 1.50% |
1.41% | |
1.28% | |
1.04% | |
1.03% | |
0.94% | |
0.87% | |
![]() | 0.76% |
0.76% |