PRAC vs. VMID ETF Comparison

Comparison of Invesco Markets II Plc (PRAC) to Vanguard FTSE 250 UCITS ETF (GBP) (VMID)
PRAC

Invesco Markets II Plc

PRAC Description

The investment objective of the Fund is to deliver the performance of the BofA Merrill Lynch Diversified Core Plus Fixed Rate Preferred Securities Net Total Return Index, minus expenses.

Grade (RS Rating)

Last Trade

£43.40

Average Daily Volume

2,109

Number of Holdings *

12

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

Vanguard FTSE 250 UCITS ETF (GBP)

VMID Description This Fund seeks to track the performance of the Index, a widely recognised benchmark of mid cap sized companies of the United Kingdom.

Grade (RS Rating)

Last Trade

£30.93

Average Daily Volume

178,203

Number of Holdings *

233

* may have additional holdings in another (foreign) market
Performance
Period PRAC VMID
30 Days -5.00% 2.66%
60 Days -3.76% 9.82%
90 Days -2.71% 9.82%
12 Months 5.62% 11.87%
0 Overlapping Holdings
Symbol Grade Weight in PRAC Weight in VMID Overlap
PRAC Overweight 12 Positions Relative to VMID
Symbol Grade Weight
0QZ1 B 1.42%
0QZ1 B 1.22%
0L8A A 0.89%
0HR4 A 0.61%
0KRX B 0.55%
0ID1 A 0.48%
0L8A A 0.42%
0LJN A 0.29%
0HR4 A 0.28%
0HAQ D 0.27%
0HIN D 0.2%
0HR4 A 0.19%
PRAC Underweight 233 Positions Relative to VMID
Symbol Grade Weight
VTY A -1.31%
HSX A -1.29%
LMP A -1.19%
PCT D -1.14%
BLND A -1.13%
ATST A -1.09%
SXS D -1.04%
GAW F -1.02%
INVP B -1.01%
BWY D -1.0%
JMAT B -1.0%
UKW B -1.0%
EMG B -0.97%
BBOX B -0.93%
TUI D -0.9%
GRG D -0.89%
ROR B -0.87%
HL B -0.86%
ITV B -0.85%
INCH A -0.84%
BAB C -0.81%
IGG A -0.8%
DLG D -0.79%
ABDN F -0.79%
HICL F -0.79%
TRIG F -0.78%
TATE B -0.77%
MNKS A -0.76%
DLN F -0.75%
CYBG B -0.74%
INPP C -0.73%
CWK A -0.68%
SSON D -0.68%
RCP A -0.66%
BVIC A -0.64%
BBY A -0.64%
SRP C -0.64%
INDV F -0.64%
CTY B -0.63%
GFTU D -0.63%
BYG B -0.62%
3IN A -0.62%
HGT A -0.61%
DRX B -0.6%
GRI B -0.58%
CCC F -0.58%
QQ C -0.58%
PNN B -0.57%
JAM C -0.56%
MRC A -0.56%
HBR B -0.55%
NETW A -0.55%
DARK A -0.55%
RDW D -0.55%
BGEO A -0.55%
HVPE F -0.55%
TCAP B -0.54%
TEM A -0.54%
FOUR B -0.54%
CCL F -0.53%
PNL A -0.53%
SSPG F -0.53%
TRN F -0.52%
FGT D -0.52%
SMWH F -0.51%
WIZZ C -0.51%
SAFE B -0.5%
FEV A -0.5%
TBCG A -0.5%
IDS B -0.48%
TPK B -0.48%
WTAN A -0.48%
HILS B -0.48%
HAS F -0.47%
LRE D -0.47%
PIN A -0.47%
ENOG B -0.47%
QLT A -0.46%
PAG A -0.46%
OSB C -0.46%
RSW C -0.45%
PTEC B -0.44%
SVS A -0.44%
IWG B -0.43%
MTO B -0.43%
PAGE D -0.43%
PLUS A -0.43%
ATT C -0.42%
DOM F -0.42%
BNKR A -0.42%
ASCL B -0.41%
SEQI F -0.41%
PETS C -0.4%
COA A -0.4%
SRE A -0.4%
BOY A -0.4%
CEY B -0.4%
DNLM F -0.39%
AGR F -0.38%
PHP D -0.38%
JMG B -0.37%
JTC A -0.37%
HMSO A -0.36%
GNS F -0.36%
FGP D -0.36%
HRI C -0.36%
IEM D -0.35%
TEP A -0.35%
VCT D -0.35%
OXIG B -0.35%
ASL A -0.35%
MONY D -0.35%
SPT B -0.35%
JUST A -0.34%
CLDN A -0.33%
VSVS B -0.33%
AGT A -0.33%
EDIN A -0.33%
LWDB A -0.32%
CGT A -0.32%
TRY C -0.32%
BYIT D -0.32%
GEN A -0.32%
DWL F -0.32%
MGNS D -0.31%
CHG A -0.31%
CKN B -0.31%
RICA C -0.31%
SUPR F -0.3%
PFD A -0.3%
BRWM A -0.3%
RAT B -0.29%
BBGI A -0.29%
SAIN C -0.28%
WG C -0.28%
ASHM D -0.28%
KNOS D -0.28%
MUT A -0.28%
FCSS A -0.27%
ELM B -0.27%
AJB A -0.27%
WOSG F -0.26%
GPE C -0.26%
SONG A -0.26%
IHP A -0.25%
ICGT D -0.25%
JFJ D -0.25%
MGAM A -0.25%
FAN B -0.25%
SDP A -0.24%
TFIF D -0.24%
MRCH A -0.24%
DSCV B -0.23%
HTWS A -0.23%
WKP C -0.23%
SNR D -0.23%
NBPE C -0.23%
KLR A -0.23%
TMPL A -0.22%
FUTR D -0.22%
VOF A -0.22%
BBH D -0.22%
WIN B -0.21%
TRST D -0.21%
BGFD C -0.21%
ESCT A -0.21%
HFG A -0.21%
BCG B -0.21%
BPT C -0.2%
BRSC B -0.2%
FSV A -0.2%
BRGE D -0.2%
CCR F -0.2%
SEIT D -0.2%
SOI A -0.2%
SPI B -0.2%
JII A -0.2%
RHIM B -0.2%
EOT C -0.19%
JLEN F -0.19%
BSIF C -0.19%
USA B -0.19%
GCP B -0.19%
APAX D -0.19%
CBG C -0.19%
JDW F -0.19%
MSLH C -0.19%
TYMN A -0.18%
EWI D -0.18%
SYNC D -0.18%
HSL A -0.18%
MAB A -0.18%
N91 B -0.18%
ATG F -0.17%
PRTC A -0.17%
ESP C -0.17%
IBST D -0.17%
STEM A -0.17%
THRG A -0.17%
KIE B -0.17%
ESNT B -0.16%
DOCS F -0.16%
AML F -0.16%
UKCM A -0.16%
PHI A -0.16%
THRL D -0.16%
SHED C -0.16%
BOWL A -0.16%
PHLL A -0.16%
MOON F -0.15%
CRST D -0.15%
BAG A -0.15%
FSFL C -0.15%
BOXE B -0.14%
BCPT C -0.14%
HTG B -0.14%
TIFS F -0.14%
IPO D -0.14%
ORIT D -0.13%
NESF C -0.13%
MCG F -0.12%
JUP F -0.12%
HOC B -0.12%
NAS F -0.11%
SLPE F -0.11%
FSG D -0.11%
AO A -0.1%
PPH B -0.09%
PZC C -0.06%
BAKK A -0.05%
FXPO F -0.04%
ITH F -0.04%
WPS D -0.03%
Compare ETFs