WELP vs. UKSR ETF Comparison

Comparison of HAN GINS Indxx Healthcare Innovation UCITS ETF Acc (WELP) to UBS MSCI United Kingdom IMI Socially Responsible UCITS ETF (UKSR)
WELP

HAN GINS Indxx Healthcare Innovation UCITS ETF Acc

WELP Description

The investment objective of the Sub-Fund is to track the price and the performance, before fees and expenses, of an index that measures the performance of companies involved in the Advanced Life Sciences & Smart Healthcare sector, on a global basis, as defined by Indxx.

Grade (RS Rating)

Last Trade

£537.00

Average Daily Volume

759

Number of Holdings *

15

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

UBS MSCI United Kingdom IMI Socially Responsible UCITS ETF

UKSR Description The objective of the Fund is to seek to track the performance of United Kingdom based companies which focus on Environmental, Social and Governance ("ESG") considerations and which would specifically exclude companies involved in nuclear power, tobacco, alcohol, gambling, military weapons, civilian firearms and genetically modified organisms.

Grade (RS Rating)

Last Trade

£1,581.70

Average Daily Volume

70,249

Number of Holdings *

151

* may have additional holdings in another (foreign) market
Performance
Period WELP UKSR
30 Days -6.20% 0.66%
60 Days -7.29% 3.85%
90 Days -1.60% 5.43%
12 Months -10.65% -0.19%
1 Overlapping Holdings
Symbol Grade Weight in WELP Weight in UKSR Overlap
SN D 0.98% 0.96% 0.96%
WELP Overweight 14 Positions Relative to UKSR
Symbol Grade Weight
0L35 B 1.54%
0HOY A 1.43%
0KW4 A 1.36%
0R29 D 1.22%
0RGT D 1.19%
0J5Q C 1.16%
0HAV C 1.08%
0Y6X D 1.06%
0QMV D 1.03%
0RLT A 1.02%
0LNG A 1.0%
0J8Z F 0.95%
0QPY C 0.94%
0R1B C 0.9%
WELP Underweight 150 Positions Relative to UKSR
Symbol Grade Weight
AZN A -5.34%
HSBA A -5.16%
REL D -4.85%
GSK A -4.85%
ULVR A -4.74%
CPG C -4.31%
LLOY A -3.67%
RKT D -3.44%
BARC A -3.24%
III B -3.13%
AHT B -2.75%
HLN A -2.56%
PRU F -2.29%
VOD D -1.81%
STAN A -1.72%
LGEN D -1.7%
SGE C -1.32%
INF C -1.24%
NXT A -1.24%
SGRO D -1.23%
RTO F -1.22%
BNZL C -1.17%
ANTO B -0.98%
ABF A -0.96%
HLMA D -0.94%
ITRK B -0.91%
ADM B -0.82%
BT.A F -0.79%
SPX F -0.77%
SVT C -0.76%
MNDI A -0.76%
CRDA F -0.74%
PSON D -0.71%
AUTO C -0.7%
WTB F -0.65%
ICP A -0.64%
SMIN F -0.63%
CCH A -0.62%
DCC C -0.61%
WEIR A -0.58%
MKS B -0.57%
BKG A -0.56%
HWDN C -0.54%
KGF A -0.53%
TW D -0.53%
DPLM A -0.53%
CTEC D -0.52%
IMI C -0.51%
LAND A -0.51%
BDEV D -0.5%
SBRY B -0.5%
BRBY F -0.47%
PSN D -0.47%
HSX A -0.46%
VTY A -0.42%
PHNX F -0.41%
RS1 C -0.38%
BLND A -0.38%
INVP B -0.37%
JMAT B -0.37%
JD F -0.35%
SDR F -0.34%
HIK C -0.34%
BWY D -0.33%
EMG B -0.33%
BBOX B -0.32%
GRG D -0.32%
INCH A -0.31%
ITV B -0.3%
ROR B -0.3%
DLG D -0.29%
ABDN F -0.28%
STJ F -0.27%
CWK A -0.26%
LMP A -0.25%
OCDO F -0.24%
BVIC A -0.23%
IDS B -0.22%
DLN F -0.22%
NETW A -0.21%
INDV F -0.2%
GFTU D -0.2%
SMWH F -0.19%
RDW D -0.19%
SSPG F -0.18%
MTO B -0.17%
TRN F -0.17%
HILS B -0.17%
IWG B -0.16%
PAG A -0.16%
COA A -0.15%
TBCG A -0.15%
AGR F -0.14%
PETS C -0.14%
VCT D -0.13%
FGP D -0.13%
DOM F -0.13%
FEVR D -0.13%
SPT B -0.13%
GNS F -0.13%
DNLM F -0.13%
PFD A -0.12%
RAT B -0.12%
GEN A -0.12%
VSVS B -0.12%
WG C -0.12%
AAF B -0.11%
MGNS D -0.11%
FRAS C -0.1%
FAN B -0.09%
KLR A -0.09%
MGAM A -0.09%
GPE C -0.09%
WOSG F -0.09%
ELM B -0.09%
CRW A -0.08%
DSCV B -0.08%
SPI B -0.08%
TYMN A -0.08%
MSLH C -0.07%
GNC A -0.07%
CVSG F -0.07%
MOON F -0.06%
IPO D -0.06%
ATG F -0.06%
RWS D -0.06%
BOWL A -0.06%
KIE B -0.06%
UKCM A -0.06%
STEM A -0.06%
ONT F -0.06%
TRST D -0.06%
BAG A -0.06%
WIX D -0.05%
CRST D -0.05%
N91 B -0.05%
DOCS F -0.05%
LIO B -0.05%
ESNT B -0.05%
AO A -0.04%
ABDP A -0.04%
HFD F -0.04%
JUP F -0.04%
CAML A -0.04%
AMS D -0.04%
PZC C -0.03%
CPI F -0.03%
CWR C -0.02%
SHI F -0.02%
ASC F -0.02%
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