COPG vs. CUKS ETF Comparison

Comparison of Global X Copper Miners UCITS ETF (COPG) to iShares MSCI UK Small Cap UCITS ETF (CUKS)
COPG

Global X Copper Miners UCITS ETF

COPG Description

Global X Copper Miners ETF is an exchange traded fund launched and managed by Global X Management Company LLC. It invests in public equity markets of global region. It invests in stocks of companies operating across copper, materials, metals and mining, copper ores sectors. The fund invests in growth and value stocks of companies across diversified market capitalization. It seeks to track the performance of the Solactive Global Copper Miners Total Return Index, by using full replication technique. Global X Copper Miners ETF was formed on April 19, 2010 and is domiciled in the United States.

Grade (RS Rating)

Last Trade

£27.06

Average Daily Volume

9,744

Number of Holdings *

6

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

iShares MSCI UK Small Cap UCITS ETF

CUKS Description The investment objective of the Fund is to replicate the performance of the Reference Index (being the MSCI UK Small Cap (less the fees and expenses of the Fund)).The Reference Index is an equity index of securities with a small market capitalisation generally incorporated in the United Kingdom. Securities listed on the London Stock Exchange are eligible for inclusion.

Grade (RS Rating)

Last Trade

£21,880.00

Average Daily Volume

2,038

Number of Holdings *

219

* may have additional holdings in another (foreign) market
Performance
Period COPG CUKS
30 Days -98.91% -0.69%
60 Days -98.74% 3.34%
90 Days -98.73% 4.41%
12 Months -98.80% 5.79%
2 Overlapping Holdings
Symbol Grade Weight in COPG Weight in CUKS Overlap
ATYM A 0.74% 0.14% 0.14%
CAML A 0.62% 0.12% 0.12%
COPG Overweight 4 Positions Relative to CUKS
Symbol Grade Weight
ANTO B 5.82%
GLEN B 3.65%
0K7F B 3.24%
SOLG C 0.25%
COPG Underweight 217 Positions Relative to CUKS
Symbol Grade Weight
ICP A -1.93%
SMDS D -1.81%
BME F -1.71%
WEIR A -1.7%
MKS B -1.62%
DPLM A -1.56%
HWDN C -1.55%
CTEC D -1.53%
IMI C -1.49%
BEZ B -1.48%
RMV D -1.35%
HSX A -1.34%
LMP A -1.3%
VTY A -1.21%
UTG D -1.12%
BLND A -1.1%
RS1 C -1.09%
SXS D -1.06%
JMAT B -1.06%
EMG B -1.06%
INVP B -1.05%
GAW F -1.04%
BWY D -0.97%
GRG D -0.93%
BBOX B -0.92%
IGG A -0.91%
INCH A -0.89%
ROR B -0.89%
TUI D -0.86%
TATE B -0.84%
ITV B -0.84%
JET2 C -0.83%
CYBG B -0.83%
DLG D -0.83%
CWK A -0.72%
CCC F -0.71%
SRP C -0.65%
BVIC A -0.65%
IDS B -0.65%
BYG B -0.65%
BBY A -0.64%
DLN F -0.64%
NETW A -0.62%
PNN B -0.61%
DRX B -0.61%
GFTU D -0.6%
GRI B -0.58%
INDV F -0.58%
HBR B -0.57%
FOUR B -0.57%
QQ C -0.57%
RDW D -0.55%
PLUS A -0.55%
BGEO A -0.55%
SMWH F -0.54%
SAFE B -0.54%
SSPG F -0.53%
TCAP B -0.53%
DARK A -0.53%
EZJ D -0.53%
TRN F -0.51%
HILS B -0.5%
ENOG B -0.5%
TPK B -0.5%
CEY B -0.49%
OSB C -0.49%
PAGE D -0.48%
RSW C -0.48%
MTO B -0.48%
SVS A -0.47%
HAS F -0.47%
IWG B -0.46%
ASCL B -0.46%
QLT A -0.46%
PAG A -0.46%
CCL F -0.46%
LRE D -0.45%
BOY A -0.44%
JTC A -0.44%
YCA A -0.44%
COA A -0.42%
BAB C -0.42%
SRE A -0.41%
TBCG A -0.41%
PETS C -0.41%
DNLM F -0.4%
AGR F -0.4%
PHP D -0.4%
GAMA B -0.4%
CKN B -0.39%
TEP A -0.39%
OXIG B -0.38%
GNS F -0.38%
SPT B -0.37%
DWL F -0.37%
DOM F -0.37%
FEVR D -0.37%
GEN A -0.36%
PTEC B -0.36%
BYIT D -0.36%
FGP D -0.36%
VCT D -0.36%
MONY D -0.36%
HMSO A -0.35%
WG C -0.34%
JUST A -0.34%
AAF B -0.33%
MGNS D -0.33%
PFD A -0.32%
RAT B -0.32%
VSVS B -0.32%
AJB A -0.31%
CHG A -0.31%
SUPR F -0.3%
YOU F -0.3%
KWS F -0.29%
FRAS C -0.29%
KNOS D -0.27%
FAN B -0.27%
MGAM A -0.27%
IHP A -0.27%
ASHM D -0.27%
ELM B -0.27%
WOSG F -0.26%
GPE C -0.26%
WIN B -0.25%
KLR A -0.25%
RNWH A -0.24%
HFG A -0.23%
SPI B -0.23%
HTWS A -0.23%
WKP C -0.23%
DSCV B -0.22%
JDW F -0.22%
CBG C -0.22%
FUTR D -0.22%
CRW A -0.22%
CVSG F -0.22%
RHIM B -0.21%
GNC A -0.21%
CCR F -0.21%
GBG A -0.21%
JDG A -0.21%
MSLH C -0.2%
MAB A -0.2%
BOWL A -0.19%
STEM A -0.19%
TYMN A -0.19%
IBST D -0.19%
KIE B -0.18%
ESP C -0.18%
RWS D -0.18%
BPT C -0.18%
TRST D -0.18%
BCPT C -0.18%
BAG A -0.18%
ESNT B -0.17%
UKCM A -0.17%
SHED C -0.17%
ONT F -0.17%
JSG B -0.17%
HTG B -0.17%
THRL D -0.16%
ATG F -0.16%
SQZ D -0.16%
IPO D -0.16%
TIFS F -0.16%
HOC B -0.16%
MOON F -0.16%
POLR A -0.15%
LIO B -0.15%
IPX F -0.15%
PAF A -0.15%
CRST D -0.15%
N91 B -0.15%
LTG F -0.15%
DOCS F -0.14%
RWI D -0.14%
TLW A -0.14%
MRL D -0.14%
AFM A -0.13%
WIX D -0.13%
AMS D -0.13%
PRSR B -0.13%
VLX B -0.13%
THG D -0.12%
JUP F -0.12%
AWE F -0.12%
NCC A -0.12%
HFD F -0.11%
AO A -0.11%
PCTN B -0.11%
MCG F -0.1%
ABDP A -0.1%
AML F -0.1%
FDM F -0.1%
FORT C -0.1%
CREI D -0.1%
YNGA F -0.1%
WHR C -0.1%
FDP C -0.09%
GGP F -0.09%
IHR C -0.09%
888 D -0.09%
TM17 B -0.09%
PZC C -0.07%
BOO F -0.07%
CPI F -0.07%
ITM F -0.07%
CWR C -0.06%
ASC F -0.06%
ALFA B -0.06%
SHI F -0.06%
RNK B -0.05%
CLI F -0.04%
FXPO F -0.04%
VCP F -0.04%
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