TELE vs. VUKG ETF Comparison

Comparison of SPDR® MSCI Europe Telecommunications UCITS ETF (TELE) to Vanguard FTSE 100 UCITS ETF GBP Acc (VUKG)
TELE

SPDR® MSCI Europe Telecommunications UCITS ETF

TELE Description

The investment objective of the tracker is to replicate the performance of the MSCI Europe Telecommunication Services net dividends reinvested. This index represents all the European shares which belong to the sector of Telecommunication Services.

Grade (RS Rating)

Last Trade

£60.10

Average Daily Volume

404

Number of Holdings *

21

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

Vanguard FTSE 100 UCITS ETF GBP Acc

VUKG Description This Fund seeks to track the performance of the Index, a widely recognised UK benchmark of the UK market most highly capitalised blue chip companies. The Fund employs a passive management or indexing investment approach, through physical acquisition of securities, designed to track the performance of the Index, a free float adjusted market capitalisation weighted index.

Grade (RS Rating)

Last Trade

£39.04

Average Daily Volume

32,871

Number of Holdings *

97

* may have additional holdings in another (foreign) market
Performance
Period TELE VUKG
30 Days 0.01% 2.25%
60 Days -0.27% 3.24%
90 Days -0.88% 7.05%
12 Months -1.60% 3.59%
5 Overlapping Holdings
Symbol Grade Weight in TELE Weight in VUKG Overlap
AUTO D 1.49% 0.35% 0.35%
BT.A F 2.66% 0.34% 0.34%
INF D 4.11% 0.59% 0.59%
VOD F 6.17% 0.79% 0.79%
WPP A 2.94% 0.38% 0.38%
TELE Overweight 16 Positions Relative to VUKG
Symbol Grade Weight
0MPH D 23.76%
0UMG C 7.25%
0FQI A 7.22%
0OQV C 6.76%
0QAL A 6.51%
0QKI D 4.84%
0ABS A 4.27%
0O8F A 3.98%
0IIF D 2.03%
0I8Y C 1.94%
0H6X B 1.69%
0IXZ A 1.32%
0G8C B 1.18%
0RB8 A 1.12%
0R8S F 1.02%
0GA3 F 0.67%
TELE Underweight 92 Positions Relative to VUKG
Symbol Grade Weight
SHEL B -8.49%
AZN A -7.71%
HSBA A -6.25%
ULVR F -5.06%
BP B -4.02%
GSK D -3.5%
REL C -3.43%
DGE D -3.42%
RIO A -2.89%
BATS F -2.72%
GLEN A -2.41%
LSEG C -2.09%
NG C -1.99%
BA B -1.98%
CPG D -1.94%
RKT F -1.87%
EXPN D -1.62%
RR B -1.61%
FLTR D -1.58%
LLOY B -1.54%
BARC B -1.29%
AHT B -1.29%
III A -1.23%
PRU D -1.12%
AAL A -1.07%
TSCO C -1.03%
HLN F -1.01%
SSE B -0.93%
IMB D -0.79%
STAN C -0.77%
LGEN C -0.75%
IHG D -0.72%
SGE D -0.67%
AV C -0.64%
SMT B -0.59%
RTO D -0.58%
SGRO D -0.58%
BNZL D -0.56%
NXT B -0.53%
SN F -0.47%
HLMA D -0.46%
SKG B -0.46%
ADM A -0.43%
SPX F -0.4%
ABF A -0.4%
ITRK A -0.39%
UU D -0.37%
PSON C -0.36%
CNA C -0.36%
SVT D -0.35%
CRDA C -0.35%
ANTO A -0.33%
WTB F -0.33%
MNDI D -0.32%
PSH C -0.31%
ENT D -0.3%
IAG A -0.29%
DCC D -0.29%
SMIN F -0.29%
ICP A -0.28%
MNG F -0.26%
BME D -0.26%
FCIT B -0.26%
WEIR B -0.25%
TW D -0.25%
BKG C -0.25%
CCH C -0.25%
DPLM B -0.24%
BDEV F -0.24%
LAND D -0.24%
BRBY F -0.24%
RMV D -0.24%
MKS B -0.24%
PSN C -0.23%
SBRY B -0.23%
HWDN B -0.23%
IMI C -0.23%
KGF A -0.23%
SMDS B -0.22%
BEZ A -0.22%
CTEC B -0.21%
RS1 F -0.19%
PHNX D -0.19%
HIK F -0.17%
SDR F -0.17%
UTG D -0.17%
OCDO F -0.16%
JD C -0.15%
STJ F -0.14%
FRAS F -0.05%
AAF B -0.05%
FRES A -0.04%
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