Get the weekly note
ETFIQetfiq.com · independent ETF data

Data as of .

AV vs FOWF: which is really different?

AV and FOWF hold 28% of their weight in the same names.

Corgi Aerospace & Commercial Aviation ETF and Pacer Solactive Whitney Future of Warfare ETF.

66.3%AV in the S&P 500
73.5%FOWF in the S&P 500
−2.4%AV total return, 1 year
+12.7%FOWF total return, 1 year

ETFIQ Off-Index Score: AV scores higher

How much of it is not the index it is sold as an alternative to?

AV 44.5FOWF 22.80.1, the lowest in this set91.8, the highest

A percentile among the 379 thematic ETFs with a holdings filing. It is a position in a set, not a rating, and neither end of it is a recommendation. All thematic ETFs ranked by it · How it is computed

AV34% of its weight is outside the S&P 500 · 3 months to Sep 18, 2026
66%34%of its weight in S&P 500 companiesof its weight outside the S&P 500active share 98% · top ten 56% of the fund · 40 holdings filed Sep 18, 2026 · Nasdaq-100: 0% in66%34%in the S&P 500outsideactive share 98% · top ten 56% of the fund
FOWF27% of its weight is outside the S&P 500 · 1 year to Sep 18, 2026
74%27%of its weight in S&P 500 companiesoutside the S&P 500active share 88% · top ten 47% of the fund · 86 holdings filed Apr 30, 2026 · Nasdaq-100: 14% in74%27%in the S&P 500outsideactive share 88% · top ten 47% of the fund

28% of the two portfolios are the same securities at the same weight.

What they hold in common

By the books each fund has filed, AV and FOWF hold 28% of their money in the same securities at the same weight.

Positions AV and FOWF both hold, largest shared weight first
HoldingAVFOWF
RTX Corp9.94%6.76%
General Dynamics Corp5.48%7.55%
Lockheed Martin Corp4.97%6.39%
Northrop Grumman Corp4.50%5.58%
Boeing Co/The4.00%7.51%
Howmet Aerospace Inc4.63%0.80%
AAR Corp0.87%0.61%
TransDigm Group Inc3.37%0.56%
CAE Inc0.84%0.55%
Only in each
Only in AVOnly in FOWF
GE AEROSPACE 10.74%BAE Systems PLC 3.98%
United Parcel Service Inc 4.00%L3Harris Technologies Inc 3.24%
Delta Air Lines Inc 3.71%Dell Technologies Inc 2.10%
First American Government Obligations Fund 12/01/2031 3.55%Leidos Holdings Inc 2.08%
FedEx Corp 3.53%Honeywell International Inc 1.66%
United Airlines Holdings Inc 3.04%Nokia Oyj 1.41%
ATI Inc 2.53%Vertiv Holdings Co 1.17%
Ryanair Holdings PLC 2.45%Corning Inc 1.10%

Weight overlap is an ETFIQ calculation: for every security both funds hold, the smaller of the two weights, summed. Above 50%, holding both is close to holding one of them twice. Holdings dated Apr 30, 2026 and Sep 18, 2026.

Performance, window by window

AV and FOWF over each window. Every figure is an ETFIQ calculation with distributions reinvested. Source: ETFIQ.
WindowTotal returnvs the S&P 500vs the Nasdaq-100
AVFOWFAVFOWFAVFOWF
3 months−9.0%+2.2%−11.3 pts−0.1 pts−6.5 pts+4.7 pts
6 monthsnot published+5.6%not published−12.4 ptsnot published−18.6 pts
1 yearnot published+12.7%not published−3.9 ptsnot published−9.1 pts
Since launch−2.4%+43.5%−6.7 pts+10.6 pts−6.2 pts+2.6 pts
Open the live comparison on ETFIQ
AV and FOWF on the same fields, as of Sep 18, 2026. Source: ETFIQ.
AV
Corgi Aerospace & Commercial Aviation ETF
Holds 40 stocks in defense, 66% of its weight in S&P 500 companies
FOWF
Pacer Solactive Whitney Future of Warfare ETF
Holds 86 stocks in defense, 74% of its weight in S&P 500 companies
IssuerCorgiPacer
ThemeDefenseDefense
In the S&P 50066.3%73.5%
Active share vs the S&P 50097.6%88.4%
In the Nasdaq-1000.0%13.7%
Holdings4086
Top ten, share of the fund55.5%46.9%
Expense ratio0.35%0.49%
Fee for the differing part0.36%0.55%
Total return, 1 year−2.4% (since launch on May 6, 2026)+12.7%
vs the S&P 500−6.7 pts−3.9 pts
vs the Nasdaq-100−6.2 pts−9.1 pts
Below its high−13.0%−8.4%
Net assets$773,395$15m

AV in plain words

By weight, 66% of AV's portfolio is stocks that are also in the S&P 500; its active share against the S&P 500 is 98%. The top ten holdings are 56% of the fund across 40 positions, as published by its issuer for Sep 18, 2026. Since it launched on May 6, 2026 the fund returned −2.4% with distributions reinvested against +4.3% for the S&P 500, so a holder was behind by 6.7 pts. It sits 13.0% below its all-time high of Aug 5, 2026.

FOWF in plain words

By weight, 74% of FOWF's portfolio is stocks that are also in the S&P 500; its active share against the S&P 500 is 88%. The top ten holdings are 47% of the fund across 86 positions, as filed for Apr 30, 2026. Over the year to Sep 18, 2026 the fund returned +12.7% with distributions reinvested against +16.6% for the S&P 500, so a holder was behind by 3.9 pts. It sits 8.4% below its all-time high of Aug 14, 2026.

Questions people ask

Do AV and FOWF hold the same stocks?
By their latest filings, 28% of their books are the same securities at the same weight, which is a meaningful overlap. Overlap is the sum of the smaller weight of every security they share.
Which is more different from the S&P 500, AV or FOWF?
AV has 66% of its weight in S&P 500 names and FOWF has 74%, so AV differs more from the index.
Which is cheaper, AV or FOWF?
AV charges 0.35% a year and FOWF charges 0.49%, so AV is cheaper. Fees come from each fund's prospectus.

Other comparisons

Where these figures came from

ETFIQ links to the documents behind every figure. It is not affiliated with any issuer, and a link is not an endorsement.

AV against FOWF, ETFIQ, data as of Sep 18, 2026. Every figure is calculated from a named public source; the method is at etfiq.com/methodology. A comparison is not a recommendation.

Cite this page. ETFIQ, AV against FOWF, data as of Sep 18, 2026. https://etfiq.com/compare/themes/av-vs-fowf Free to use with attribution; the underlying files are at Open data.

How every figure is computed · Standards and sources