IIND vs. PSRU ETF Comparison

Comparison of iShares IV PLC ISH MSCI India UCITS ETF USD ACC GBP (IIND) to PowerShares FTSE RAFI UK 100 UCITS ETF (PSRU)
IIND

iShares IV PLC ISH MSCI India UCITS ETF USD ACC GBP

IIND Description

The investment objective of the Fund is to seek to provide investors with a total return, taking into account bothcapital and income returns, which reflects the return of the MSCI India Index Net USD.

Grade (RS Rating)

Last Trade

£7.24

Average Daily Volume

235,751

Number of Holdings *

2

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

PowerShares FTSE RAFI UK 100 UCITS ETF

PSRU Description The investment seeks to track the price and performance yield, before fees and expenses, of the FTSE RAFI UK 100 index. The fund will achieve this by holding the shares from the index and their respective weightings, subject to the investment restrictions. It will invest in swaps and swaptions, options, FDIs, and in order to gain exposure to the components of the index or for cash management purposes, hold ancillary liquid assets such as cash, commercial paper and money market obligations such as short and medium-term treasury bills and treasury notes certificates of deposit, bankers’ acceptances, and variable and floating rate instruments which are either of investment grade or are issued or guaranteed by a national government or its agencies.

Grade (RS Rating)

Last Trade

£1,190.70

Average Daily Volume

2,829

Number of Holdings *

98

* may have additional holdings in another (foreign) market
Performance
Period IIND PSRU
30 Days 4.13% 3.76%
60 Days 0.84% 5.04%
90 Days 5.32% 8.16%
12 Months 32.33% 0.72%
0 Overlapping Holdings
Symbol Grade Weight in IIND Weight in PSRU Overlap
IIND Overweight 2 Positions Relative to PSRU
Symbol Grade Weight
AXB D 2.26%
SBID C 1.28%
IIND Underweight 98 Positions Relative to PSRU
Symbol Grade Weight
SHEL B -11.28%
BP B -7.81%
HSBA A -7.02%
GLEN A -6.77%
BATS F -4.58%
RIO A -3.7%
BARC B -3.39%
VOD F -3.34%
ULVR F -3.14%
LLOY B -2.86%
AZN A -2.67%
AAL A -2.58%
GSK D -2.36%
NG C -2.05%
TSCO C -1.86%
STAN C -1.37%
LGEN C -1.28%
DGE D -1.27%
AV C -1.21%
IMB D -1.16%
BA B -1.12%
PRU D -0.96%
BT.A F -0.96%
SSE B -0.88%
CPG D -0.84%
LSEG C -0.81%
REL C -0.75%
III A -0.72%
RKT F -0.71%
SBRY B -0.67%
HLN F -0.67%
KGF A -0.58%
MNG F -0.58%
AHT B -0.55%
WPP A -0.55%
CNA C -0.49%
SKG B -0.48%
MNDI D -0.47%
DCC D -0.42%
PSN C -0.42%
IAG A -0.4%
JMAT B -0.4%
SMDS B -0.39%
RR B -0.37%
EXPN D -0.37%
MKS B -0.36%
BDEV F -0.36%
ABF A -0.34%
TW D -0.32%
SGRO D -0.31%
DLG B -0.31%
BNZL D -0.31%
FLTR D -0.29%
PSON C -0.28%
TUI C -0.28%
ANTO A -0.27%
SN F -0.27%
PHNX D -0.27%
INF D -0.26%
UU D -0.26%
ABDN F -0.26%
NXT B -0.25%
ADM A -0.25%
RTO D -0.24%
IDS B -0.23%
LAND D -0.23%
CYBG B -0.23%
ITV B -0.22%
BME D -0.22%
INCH A -0.21%
ITRK A -0.2%
SMIN F -0.19%
BKG C -0.19%
DRX C -0.19%
ENT D -0.19%
BBY B -0.19%
BWY D -0.19%
PSH C -0.18%
TPK F -0.18%
SVT D -0.18%
BRBY F -0.18%
BLND B -0.18%
WG B -0.17%
CRDA C -0.17%
CCH C -0.17%
WTB F -0.17%
SGE D -0.17%
VTY B -0.17%
DWL D -0.17%
STJ F -0.16%
HAS F -0.16%
IGG B -0.15%
SDR F -0.15%
IHG D -0.15%
ICP A -0.15%
HBR B -0.15%
EZJ D -0.14%
RCP C -0.14%
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