FKU vs. MIDD ETF Comparison

Comparison of First Trust United Kingdom AlphaDEX® UCITS ETF (FKU) to iShares FTSE 250 UCITS ETF (MIDD)
FKU

First Trust United Kingdom AlphaDEX® UCITS ETF

FKU Description

The fund aims to provide investors with a total return, taking into account capital and income returns, which reflects the return of an equity index called the NASDAQ AlphaDEX® United Kingdom Index.

Grade (RS Rating)

Last Trade

£2,855.80

Average Daily Volume

552

Number of Holdings *

73

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

iShares FTSE 250 UCITS ETF

MIDD Description The fund is an exchange traded fund (ETF) that aims to track the performance of the FTSE 250 Index as closely as possible. The ETF invests in physical index securities. The FTSE 250 Index offers exposure to 250 UK stocks which rank below the FTSE 100 Index measured by full market capitalisation. The index is free float market capitalisation weighted. iShares ETFs are funds managed by BlackRock. They are transparent, cost-efficient, liquid vehicles that trade on stock exchanges like normal securities. iShares ETFs offer flexible and easy access to a wide range of markets and asset classes.

Grade (RS Rating)

Last Trade

£1,808.60

Average Daily Volume

452,943

Number of Holdings *

233

* may have additional holdings in another (foreign) market
Performance
Period FKU MIDD
30 Days 2.08% 0.63%
60 Days 3.83% 1.42%
90 Days 6.56% 3.35%
12 Months 8.20% 1.16%
10 Overlapping Holdings
Symbol Grade Weight in FKU Weight in MIDD Overlap
BBOX D 0.39% 0.88% 0.39%
BLND B 0.83% 1.09% 0.83%
BWY D 1.73% 0.96% 0.96%
CCC F 1.66% 0.58% 0.58%
CCL F 1.72% 0.49% 0.49%
HL D 0.44% 0.87% 0.44%
HSX B 0.48% 1.22% 0.48%
INVP C 0.82% 1.02% 0.82%
JMAT B 0.91% 0.99% 0.91%
SXS F 0.37% 1.02% 0.37%
FKU Overweight 63 Positions Relative to MIDD
Symbol Grade Weight
RR B 2.95%
III A 2.55%
BP B 2.52%
SHEL B 2.49%
SMDS B 2.34%
EZJ D 2.26%
ABF A 2.22%
BATS F 2.19%
VOD F 2.14%
NG C 2.14%
DCC D 2.1%
BARC B 2.08%
CNA C 2.07%
MKS B 2.05%
IHG D 1.92%
FRAS F 1.9%
WISE C 1.89%
BT.A F 1.89%
GLEN A 1.8%
KGF A 1.79%
ANTO A 1.77%
ICP A 1.65%
TW D 1.6%
MNDI D 1.6%
MNG F 1.57%
BA B 1.55%
SBRY B 1.51%
SKG B 1.49%
NXT B 1.46%
AAL A 1.46%
BDEV F 1.43%
LLOY B 1.4%
HWDN B 1.4%
HSBA A 1.35%
SGE D 1.32%
TSCO C 1.28%
BKG C 1.27%
JD C 1.25%
IMB D 1.24%
PSN C 1.21%
BRBY F 1.08%
GSK D 0.99%
REL C 0.94%
IAG A 0.92%
PSON C 0.91%
FRES A 0.91%
STAN C 0.87%
DPLM B 0.87%
AUTO D 0.83%
RIO A 0.8%
WTB F 0.76%
BEZ A 0.55%
CCH C 0.46%
IMI C 0.46%
AHT B 0.46%
LSEG C 0.44%
HLMA D 0.43%
SGRO D 0.42%
BNZL D 0.41%
SMIN F 0.41%
OCDO F 0.41%
LAND D 0.39%
RS1 F 0.38%
FKU Underweight 223 Positions Relative to MIDD
Symbol Grade Weight
VTY B -1.24%
PCT C -1.14%
LMP B -1.14%
ATST B -1.08%
GAW D -1.01%
EMG B -1.0%
UKW F -0.99%
TUI C -0.93%
ROR C -0.87%
GRG C -0.86%
INCH A -0.84%
ITV B -0.84%
IGG B -0.8%
HICL D -0.79%
BAB B -0.79%
ABDN F -0.79%
TATE B -0.78%
DLG B -0.77%
CYBG B -0.75%
MNKS A -0.75%
TRIG F -0.75%
INPP F -0.74%
DLN C -0.7%
CWK A -0.69%
SSON C -0.67%
RCP C -0.66%
HGT B -0.63%
CTY D -0.63%
GFTU D -0.63%
BVIC D -0.63%
INDV D -0.62%
3IN D -0.62%
SRP D -0.62%
BBY B -0.61%
BYG B -0.59%
GRI D -0.58%
HBR B -0.57%
DRX C -0.57%
QQ D -0.56%
PNN D -0.56%
WIZZ C -0.56%
BGEO B -0.55%
FOUR B -0.55%
MRC C -0.55%
JAM A -0.55%
HVPE D -0.55%
TEM C -0.54%
DARK A -0.54%
NETW A -0.54%
PNL A -0.53%
RDW D -0.53%
TCAP B -0.53%
SSPG F -0.53%
SMWH D -0.52%
TRN B -0.51%
FGT D -0.5%
TBCG D -0.49%
FEV B -0.49%
OSB C -0.48%
WTAN A -0.48%
IDS B -0.48%
SAFE D -0.48%
PIN A -0.48%
TPK F -0.48%
HILS C -0.48%
PAGE C -0.47%
HAS F -0.47%
LRE F -0.46%
MTO A -0.46%
ENOG D -0.46%
PLUS A -0.46%
PAG A -0.46%
CEY A -0.45%
QLT D -0.44%
SVS A -0.44%
BNKR A -0.43%
ASCL A -0.43%
PTEC F -0.43%
RSW D -0.43%
ATT C -0.42%
PETS B -0.41%
DOM F -0.41%
IWG D -0.41%
SEQI D -0.41%
BOY B -0.41%
COA B -0.4%
JTC B -0.39%
SRE B -0.39%
DNLM F -0.38%
JMG F -0.37%
AGR F -0.37%
PHP F -0.37%
ASL A -0.36%
GNS D -0.36%
HRI D -0.36%
OXIG D -0.35%
SPT B -0.35%
TEP B -0.35%
MONY F -0.35%
VCT F -0.35%
FGP C -0.35%
CLDN A -0.34%
DWL D -0.34%
IEM C -0.34%
AGT B -0.33%
EDIN A -0.33%
JUST B -0.33%
CGT B -0.32%
GEN B -0.32%
HMSO A -0.32%
VSVS C -0.32%
BRWM A -0.32%
LWDB A -0.32%
CKN A -0.31%
BYIT F -0.31%
TRY D -0.31%
RICA B -0.31%
BBGI C -0.29%
KNOS F -0.29%
SUPR F -0.29%
MGNS B -0.29%
CHG D -0.29%
PFD A -0.29%
RAT C -0.29%
MUT A -0.28%
WG B -0.28%
SONG A -0.27%
ASHM F -0.27%
FCSS C -0.27%
SAIN D -0.27%
ICGT C -0.26%
ELM B -0.26%
AJB C -0.26%
FAN D -0.25%
FUTR D -0.25%
GPE B -0.25%
MGAM A -0.25%
WOSG F -0.25%
JFJ D -0.24%
TFIF D -0.24%
MRCH A -0.24%
IHP A -0.24%
NBPE B -0.24%
SDP B -0.24%
KLR B -0.24%
HTWS A -0.23%
VOF B -0.23%
CBG C -0.22%
BCG D -0.22%
WKP F -0.22%
SNR D -0.22%
DSCV D -0.22%
HFG A -0.22%
TMPL A -0.22%
BGFD D -0.21%
WIN B -0.21%
SPI A -0.21%
ESCT A -0.21%
BBH D -0.21%
JDW D -0.2%
FSV A -0.2%
RHIM D -0.2%
TRST D -0.2%
BRSC A -0.2%
BRGE D -0.2%
CCR F -0.2%
SOI B -0.2%
JII C -0.2%
EOT D -0.19%
MAB F -0.19%
USA A -0.19%
GCP F -0.19%
TYMN C -0.19%
BPT D -0.19%
APAX F -0.19%
SEIT D -0.19%
BSIF F -0.19%
MSLH D -0.19%
THRG D -0.18%
STEM B -0.18%
HSL D -0.18%
N91 D -0.18%
KIE C -0.17%
IBST C -0.17%
PRTC B -0.17%
PHI A -0.17%
DOCS F -0.17%
PHLL B -0.17%
ATG F -0.17%
SYNC D -0.17%
EWI D -0.17%
JLEN F -0.17%
HTG A -0.16%
ESP D -0.16%
ESNT B -0.16%
BOWL B -0.16%
FSFL F -0.15%
THRL D -0.15%
AML F -0.15%
BAG B -0.15%
UKCM C -0.15%
SHED F -0.15%
HOC A -0.14%
IPO D -0.14%
MOON A -0.14%
TIFS C -0.14%
CRST D -0.14%
BOXE F -0.13%
BCPT B -0.13%
NESF F -0.13%
JUP F -0.12%
ORIT F -0.12%
NAS F -0.11%
SLPE F -0.11%
FSG B -0.11%
AO B -0.1%
MCG F -0.1%
PPH A -0.09%
PZC F -0.06%
BAKK A -0.05%
ITH F -0.04%
FXPO F -0.04%
WPS F -0.03%
Compare ETFs