JNK vs QQQ

Change comparison pair

Overlap by weight
0.0%
Shared holdings
0
JNK inside QQQ
0.0%
QQQ inside JNK
0.0%
Largest shared
None

Overlap visual

Coverage bars show how much shared holding weight appears in each fund.

Overlap by weight0.0%
JNK also in QQQ0.0%
QQQ also in JNK0.0%

Top shared holdings

Sector drift

Higher in JNKHigher in QQQ
Information Technology
-59.0%
Communication Services
-12.6%
Consumer Discretionary
-11.0%
Consumer Staples
-6.8%
Health Care
-3.9%
Industrials
-3.6%
Utilities
-1.2%
Materials
-1.1%

Region drift

Higher in JNKHigher in QQQ
North America
-98.4%
Europe
-1.4%
Asia Pacific
-0.2%
Unknown
-0.1%

Shared holdings evidence

0 of 0 rows

Rows
No matching rows.
Page 1 of 1

Fund weight difference evidence

103 of 103 rows

Rows
ZS

Zscaler Inc

-0.1%
JNK0.0%QQQ0.1%

Information Technology · North America

XEL

Xcel Energy Inc

-0.2%
JNK0.0%QQQ0.2%

Utilities · North America

WMT

Walmart Inc

-2.7%
JNK0.0%QQQ2.7%

Consumer Staples · North America

WDC

Western Digital Corp

-0.9%
JNK0.0%QQQ0.9%

Information Technology · North America

WDAY

Workday Inc

-0.1%
JNK0.0%QQQ0.1%

Information Technology · North America

WBD

Warner Bros Discovery Inc

-0.3%
JNK0.0%QQQ0.3%

Industrials · North America

VRTX

Vertex Pharmaceuticals Inc

-0.5%
JNK0.0%QQQ0.5%

Health Care · North America

VRSK

Verisk Analytics Inc

-0.1%
JNK0.0%QQQ0.1%

Industrials · North America

USD

CASH & EQUIVALENTS

-0.1%
JNK0.0%QQQ0.1%

Unknown · North America

TXN

Texas Instruments Inc

-1.2%
JNK0.0%QQQ1.2%

Information Technology · North America

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Data quality and methodology

SourceProvider candidate fill: API Ninjas, Issuer holdings API: Invesco

As of2026-06-12 to 2026-06-18

Freshness
FreshFresh

Average coverage100.1%

FormulaOverlap equals the sum of minimum shared holding weights.

Educational analysis only. Not personalized investment, tax, or legal advice.