IPXE vs. LCUK ETF Comparison

Comparison of First Trust IPOX® Europe Equity Opportunities UCITS ETF USD (IPXE) to Multi Units Luxembourg Lyxor CORE Morningstar UK NT (DR) UCITS (LCUK)
IPXE

First Trust IPOX® Europe Equity Opportunities UCITS ETF USD

IPXE Description

NA

Grade (RS Rating)

Last Trade

£19.93

Average Daily Volume

246

Number of Holdings *

29

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

Multi Units Luxembourg Lyxor CORE Morningstar UK NT (DR) UCITS

LCUK Description The Lyxor Core Morningstar UK NT (DR) UCITS ETF - Acc is a UCITS compliant exchange traded fund that aims to track the Morningstar UK NR Index. The index is designed to represent the performance of the large and mid cap segment of the United Kingdom’s equity market. It covers approximately 97% of the free float-adjusted market capitalisation of the UK.

Grade (RS Rating)

Last Trade

£11.41

Average Daily Volume

26,176

Number of Holdings *

237

* may have additional holdings in another (foreign) market
Performance
Period IPXE LCUK
30 Days -3.95% 2.09%
60 Days -3.95% 6.17%
90 Days 7.43%
12 Months 8.09%
12 Overlapping Holdings
Symbol Grade Weight in IPXE Weight in LCUK Overlap
AWE F 0.05% 0.01% 0.01%
BCG B 0.07% 0.02% 0.02%
BPT C 0.11% 0.05% 0.05%
BYIT D 0.07% 0.04% 0.04%
CRE C 0.26% 0.03% 0.03%
DARK A 1.3% 0.07% 0.07%
FRAS C 0.22% 0.04% 0.04%
GSK A 3.3% 3.11% 3.11%
HLN A 1.41% 0.85% 0.85%
MNG F 1.45% 0.21% 0.21%
WISE F 2.08% 0.27% 0.27%
YCA A 0.09% 0.13% 0.09%
IPXE Overweight 17 Positions Relative to LCUK
Symbol Grade Weight
0QIU B 3.36%
0RPO A 2.69%
0UMG A 2.69%
CRH D 2.09%
0RQO B 2.07%
0ABY F 1.92%
0MPP A 1.75%
0ACC F 1.3%
0NZT A 1.25%
KSPI B 1.09%
0IXZ C 0.92%
0AAY A 0.8%
0G8C A 0.41%
0FIN D 0.34%
0NDV B 0.13%
0AA8 C 0.06%
TRST D 0.05%
IPXE Underweight 225 Positions Relative to LCUK
Symbol Grade Weight
SHEL B -8.54%
AZN A -8.5%
HSBA A -5.81%
ULVR A -4.69%
BP B -4.09%
REL D -2.86%
DGE F -2.83%
RIO A -2.69%
BATS C -2.41%
GLEN B -2.02%
NG A -1.8%
LSEG D -1.77%
CPG C -1.76%
RR B -1.65%
AAL A -1.6%
LLOY A -1.48%
RKT D -1.46%
EXPN D -1.39%
III B -1.31%
BARC A -1.29%
AHT B -1.25%
TSCO A -0.95%
PRU F -0.93%
SSE B -0.87%
IMB A -0.76%
VOD D -0.73%
STAN A -0.71%
LGEN D -0.68%
IHG D -0.63%
AV C -0.62%
SGE C -0.57%
CCEP A -0.55%
NXT A -0.53%
BNZL C -0.52%
SGRO D -0.52%
RTO F -0.51%
INF C -0.5%
WPP A -0.44%
SN D -0.43%
ABF A -0.42%
HLMA D -0.42%
ANTO B -0.4%
SPX F -0.36%
ITRK B -0.35%
BT.A F -0.34%
ADM B -0.34%
SMIN F -0.31%
UU A -0.31%
CNA D -0.31%
WEIR A -0.3%
MNDI A -0.3%
PSON D -0.3%
DCC C -0.3%
SVT C -0.29%
AUTO C -0.28%
HWDN C -0.28%
IMI C -0.27%
CRDA F -0.27%
DPLM A -0.27%
ICP A -0.26%
WTB F -0.25%
CCH A -0.25%
ENT F -0.24%
BME F -0.22%
BKG A -0.22%
MKS B -0.22%
TW D -0.21%
RS1 C -0.21%
LAND A -0.2%
KGF A -0.2%
SMDS D -0.2%
BEZ B -0.19%
SBRY B -0.19%
BDEV D -0.19%
BRBY F -0.18%
CTEC D -0.18%
RMV D -0.18%
VTY A -0.18%
HSX A -0.18%
PSN D -0.18%
LMP A -0.17%
BAB C -0.17%
ROR B -0.17%
PHNX F -0.16%
UTG D -0.16%
SDR F -0.15%
BBY A -0.15%
BLND A -0.15%
BWY D -0.14%
JMAT B -0.14%
TPK B -0.14%
QQ C -0.14%
GFTU D -0.14%
SXS D -0.14%
GAW F -0.14%
INCH A -0.13%
BBOX B -0.13%
JD F -0.13%
HIK C -0.13%
EMG B -0.13%
INVP B -0.13%
IGG A -0.12%
GRG D -0.12%
BOY A -0.12%
JET2 C -0.11%
CHG A -0.11%
VSVS B -0.11%
MGNS D -0.11%
OCDO F -0.11%
ITV B -0.11%
MGAM A -0.11%
GEN A -0.11%
ABDN F -0.11%
HL B -0.11%
DLN F -0.1%
DLG D -0.1%
DSCV B -0.1%
STJ F -0.1%
CYBG B -0.1%
TATE B -0.1%
TRIG F -0.1%
FAN B -0.1%
BVIC A -0.09%
BYG B -0.09%
SNR D -0.09%
EZJ D -0.09%
SRP C -0.09%
CWK A -0.09%
JHD A -0.09%
RDW D -0.08%
IDS B -0.08%
PNN B -0.08%
DRX B -0.08%
INDV F -0.08%
HBR B -0.07%
PLUS A -0.07%
SMWH F -0.07%
SSPG F -0.07%
SAFE B -0.07%
CCC F -0.07%
FOUR B -0.07%
GRI B -0.07%
TCAP B -0.07%
BGEO A -0.07%
ENOG B -0.06%
RSW C -0.06%
TRN F -0.06%
PAGE D -0.06%
CEY B -0.06%
MTO B -0.06%
QLT A -0.06%
HAS F -0.06%
COA A -0.06%
HILS B -0.06%
SVS A -0.06%
IWG B -0.06%
PTEC B -0.06%
HCM A -0.06%
OSB C -0.06%
CCL F -0.06%
TBCG A -0.06%
DNLM F -0.05%
GAMA B -0.05%
FGP D -0.05%
DWL F -0.05%
AGR F -0.05%
PHP D -0.05%
BOCH B -0.05%
DOM F -0.05%
JTC A -0.05%
ASCL B -0.05%
PETS C -0.05%
WIZZ C -0.05%
SRE A -0.05%
PAG A -0.05%
LRE D -0.05%
WG C -0.04%
AJB A -0.04%
NETW A -0.04%
PFD A -0.04%
YOU F -0.04%
VCT D -0.04%
MONY D -0.04%
FRES B -0.04%
JUST A -0.04%
SPT B -0.04%
TEP A -0.04%
GNS F -0.04%
OXIG B -0.04%
CRN A -0.04%
FEVR D -0.04%
HMSO A -0.04%
CKN B -0.04%
HTWS A -0.03%
KNOS D -0.03%
WKP C -0.03%
ELM B -0.03%
ASHM D -0.03%
AAF B -0.03%
IHP A -0.03%
WOSG F -0.03%
KWS F -0.03%
RAT B -0.03%
RHIM B -0.03%
GPE C -0.03%
AML F -0.02%
ATG F -0.02%
THG D -0.02%
ONT F -0.02%
CCR F -0.02%
HFG A -0.02%
UKCM A -0.02%
N91 B -0.02%
CBG C -0.02%
CVSG F -0.02%
MAB A -0.02%
SPI B -0.02%
DOCS F -0.02%
FUTR D -0.02%
GBG A -0.02%
JDW F -0.02%
WPS D -0.01%
SQZ D -0.01%
RWS D -0.01%
PZC C -0.0%
Compare ETFs