Compare ETFs

Compare holdings, allocations, classifications, and performance.

ETF pair

Comparison options
Performance reportCompare price performance from a chosen date
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Showing cached reports.

SCHK: generated Aug 1, 2026, 2:42 AM (as of 2026-07-30); DCOR: generated Aug 1, 2026, 10:52 AM (as of 2026-07-30).

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SCHK vs DCOR

Current snapshot · Current snapshot

Portfolio statistics

SCHK

Largest holding
AAPL · 7.090%
Top 10 concentration
34.39%
Gross exposure
34.39%
Net exposure
34.39%

DCOR

Largest holding
AAPL · 6.150%
Top 10 concentration
28.24%
Gross exposure
28.24%
Net exposure
28.24%

Holdings overlap

Based on returned holdings.

ETF A
SCHK
Snapshot
2026-07-30
Returned holdings
10
Largest position
AAPL · 7.090%
26.94%weighted overlap
ETF B
DCOR
Snapshot
2026-07-30
Returned holdings
10
Largest position
AAPL · 6.150%
Holdings universe11 distinct mapped tickers in the returned rows
9 shared
Only SCHK 1Shared 9Only DCOR 1

Largest allocation differences

MUMICRON TECHNOLOGY INC1.430% gap
1.430%0.000%
NVDANVIDIA CORP1.325% gap
6.840%5.515%
LLYELI LILLY AND COMPANY1.136% gap
0.000%1.136%
AVGOBROADCOM INC0.974% gap
2.660%1.686%
AAPLAPPLE INC0.940% gap
7.090%6.150%
GOOGLALPHABET INC CLASS A0.816% gap
2.830%2.014%
MSFTMICROSOFT CORP0.743% gap
4.850%4.107%
GOOGALPHABET INC CLASS C0.673% gap
2.280%1.607%

Portfolio composition

Based on classified holdings in the returned results.

No classification data available.

Valuation multiples

Weighted valuation multiples by ETF
Weighted multipleSCHKDCOR
P/E
N/A0/10 valued
N/A0/10 valued
P/B
N/A0/10 valued
N/A0/10 valued
P/S
N/A0/10 valued
N/A0/10 valued

No valuation data available for these holdings.

Holdings details

Shared holdings

9
TickerCompanySCHK weightDCOR weightAbsolute difference
AAPLAPPLE INC7.090%6.150%0.940%
NVDANVIDIA CORP6.840%5.515%1.325%
MSFTMICROSOFT CORP4.850%4.107%0.743%
AMZNAMAZON COM INC3.340%2.790%0.550%
GOOGLALPHABET INC CLASS A2.830%2.014%0.816%
AVGOBROADCOM INC2.660%1.686%0.974%
GOOGALPHABET INC CLASS C2.280%1.607%0.673%
METAMETA PLATFORMS INC CLASS A1.710%1.841%0.131%
JPMJPMORGAN CHASE1.360%1.395%0.035%