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CORN vs RYE

Both CORN and RYE are ETFs. CORN has a higher 5-year return than RYE (1.16% vs -2.71%). CORN has a higher expense ratio than RYE (1.95% vs 0.4%). Below is the comparison between CORN and RYE.

CORN RYE
Security Type ETF ETF
Segment Commodities: Agriculture Corn Equity: U.S. Energy
Family Teucrium Guggenheim
Net Assets $124.70M $173.40M
Expense Ratio 1.95% 0.40%
Management Style passive (index-based) passive (index-based)
Dividend Yield 0.00% 2.12%
Underlying Index Teucrium Corn Index S&P 500 Equal Weight Index Energy
YTD Return 26.64% 43.23%
1-Year Return 55.11% 95.76%
3-Year Return 7.17% -8.58%
5-Year Return 1.16% -2.71%
10-Year Return -7.38% 0.08%

CORN description

The Fund seeks to have the daily changes in percentage terms of the Shares' net asset value reflect the daily changes in percentage terms of a weighted average of the closing settlement prices for three futures contracts for corn ("Corn Futures Contracts") that are traded on the Chicago Board of Trade.

CORN performance & returns

YTD Return 26.64%
1-Month Return -2.66%
3-Month Return -0.05%
1-Year Return 55.11%
3-Year Return 7.17%
5-Year Return 1.16%
10-Year Return -7.38%
CORN expense ratio is 1.95%.

CORN holdings

Top 10 Holdings (102.86% of Total Assets)

Name Symbol % Assets
C H1 Cbot Corn Futures Mar 2021 N/A 36.06%
C Z1 Cbot Corn Futures Dec 2021 N/A 35.91%
C K1 Cbot Corn Futures May 2021 N/A 30.89%

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RYE description

The Fund seeks to track the investment results of the S&P 500 Equal Weight Energy Index. The Fund, under normal circumstances, will invest at least 90% of its total assets in the securities that comprise the Underlying Index. The Underlying Index is an equal-weighted version of the S&P 500 Energy Index.

RYE performance & returns

YTD Return 43.23%
1-Month Return 10.46%
3-Month Return -4.27%
1-Year Return 95.76%
3-Year Return -8.58%
5-Year Return -2.71%
10-Year Return 0.08%
RYE expense ratio is 0.4%.

RYE holdings

Top 10 Holdings (43.39% of Total Assets)

Name Symbol % Assets
ONEOK Inc OKE 4.95%
Baker Hughes Co Class A BKR 4.76%
Devon Energy Corp DVN 4.47%
Cabot Oil & Gas Corp Class A COG 4.38%
Williams Companies Inc WMB 4.26%
Marathon Petroleum Corp MPC 4.24%
Kinder Morgan Inc Class P KMI 4.17%
Concho Resources Inc CXO 4.12%
Chevron Corp CVX 4.02%
Occidental Petroleum Corp OXY 4.02%

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