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TACN vs EMPB

Comparison between T. ROWE PRICE ACTIVE CORE INTERNATIONAL EQUITY ETF (TACN, ETF) and EFFICIENT MARKET PORTFOLIO PLUS ETF (EMPB, ETF).

TACN vs EMPB - Performance Comparison

Key Characteristics

Financial metrics and valuation ratios

Net Assets
TACN
$21M
EMPB
$21M
Expense Ratio
TACN
N/A
EMPB
2.21%
Max Drawdown
TACN
10.98%
Winner
EMPB
7.55%
Sharpe Ratio
TACN
1.14
Winner
EMPB
1.38
5Y Beta
TACN
1.05
Winner
EMPB
0.45

TACN vs EMPB - Holdings Comparison

TACN and EMPB have 0 common holdings. Overlap is 0.00%

TACN's top 25 holdings weight is 26.13%. EMPB's top 25 holdings weight is 49.84%.

RankTACNEMPB
#1
ASML HOLDING NV (n/a) - 3.56%
VANECK SEMICONDUCTOR ETF (SMH) - 10.61%
#2
ASTRAZENECA PLC (AZN:XLON) - 1.63%
ISHARES US TELECOMMUNICATIONS ETF (IYZ) - 10.35%
#3
SHELL PLC (n/a) - 1.41%
INVESCO QQQ TRUST (QQQ) - 10.16%
#4
ROCHE HOLDING AG (n/a) - 1.34%
ISHARES US HOME CONSTRUCTION ETF (ITB) - 10.07%
#5
TOKYO ELECTRON LTD (n/a) - 1.31%
STATE STREET®FINSELSECTSPDR®ETF (XLF) - 10.03%
#6
HSBC HOLDINGS PLC (n/a) - 1.31%
PROSHARES ULTRASHORT 20& YEAR TREASURY (TBT) - 10.00%
#7
NOVARTIS AG REGISTERED SHARES (n/a) - 1.30%
VANGUARD CONSUMER STAPLES ETF (VDC) - 9.92%
#8
MITSUBISHI UFJ FINANCIAL GROUP INC (n/a) - 1.16%
STATE STREET®HLTHCRSELSECTSPDR®ETF (XLV) - 9.84%
#9
TOTALENERGIES SE (TTE) - 1.02%
INVESCO SOLAR ETF (TAN) - 9.82%
#10
NESTLE SA (n/a) - 1.01%
STATE STREET® CNSMRDISCSELSECTSPDR®ETF (XLY) - 9.78%
#11
SONY GROUP CORP (n/a) - 1.00%
STATE STREET® SPDR® S&P® BIOTECH ETF (XBI) - -4.70%
#12
RECRUIT HOLDINGS CO LTD (n/a) - 1.00%
ARK INNOVATION ETF (ARKK) - -4.90%
#13
SIEMENS AG (n/a) - 0.96%
STATE STREET®UTILSELSECTSPDR®ETF (XLU) - -4.97%
#14
BHP GROUP LTD (n/a) - 0.91%
STATE STREET® INDSTRLSELSECTSPDR®ETF (XLI) - -5.06%
#15
UNICREDIT SPA (n/a) - 0.87%
STATE STREET®MATSELSECTSPDR®ETF (XLB) - -5.06%
#16
UBS GROUP AG REG COMMON STOCK USD.1 (n/a) - 0.85%
STATE STREET® SPDR® S&P® RETAIL ETF (XRT) - -8.35%
#17
BANCO BILBAO VIZCAYA ARGENTARIA SA (n/a) - 0.85%
GLOBAL X URANIUM ETF (URA) - -8.81%
#18
UNILEVER PLC (n/a) - 0.81%
STT STRT®SPDR®S&P®MTLS &MNGETF (XME) - -8.89%
#19
ROLLS-ROYCE HOLDINGS PLC (n/a) - 0.80%
N/A
#20
HITACHI LTD (n/a) - 0.80%
N/A
#21
ISETAN MITSUKOSHI HOLDINGS LTD (n/a) - 0.46%
N/A
#22
COMPASS GROUP PLC (n/a) - 0.45%
N/A
#23
SAFRAN SA (n/a) - 0.45%
N/A
#24
CAIXABANK SA (n/a) - 0.44%
N/A
#25
SUMITOMO MITSUI FINANCIAL GROUP INC (n/a) - 0.43%
N/A
Total Holdings45718

TACN vs EMPB - Historical Returns

Returns include dividend reinvestment.

1M
TACN
+2.24%
Winner
EMPB
+4.18%
3M
TACN
+8.16%
Winner
EMPB
+11.70%
6M
TACN
+11.63%
Winner
EMPB
+12.88%
1Y
TACN
N/A
EMPB
+19.58%
Max(CAGR)
Winner
TACN
+25.24%
EMPB
+20.54%

TACN vs EMPB - Annual Returns (2024 - 2026)

Returns include dividend reinvestment.

YearTACNEMPB
2026+9.21%+13.87%
2025+1.42%+14.64%
2024N/A+0.89%

TACN vs EMPB Drawdown Comparison

The maximum drawdown for TACN was -10.98%, occurring on Mar 30, 2026. This drawdown has not yet recovered.

The maximum drawdown for EMPB was -7.55%, occurring on Apr 8, 2025. Recovery took 57 trading sessions.

The current TACN drawdown is -0.15%.

RankTACNEMPB
#1-10.98%
Feb 26, 2026 - Mar 30, 2026
-7.55%
Feb 19, 2025 - May 12, 2025
#2-1.45%
Jan 16, 2026 - Jan 22, 2026
-5.98%
Oct 6, 2025 - Feb 10, 2026
#3-1.19%
Feb 11, 2026 - Feb 25, 2026
-5.56%
Feb 25, 2026 - Apr 17, 2026
#4-1.14%
Jan 27, 2026 - Feb 4, 2026
-4.08%
Jan 6, 2025 - Jan 22, 2025
#5-0.97%
Feb 4, 2026 - Feb 6, 2026
-2.65%
Jan 24, 2025 - Feb 5, 2025
#6-0.79%
Dec 15, 2025 - Dec 22, 2025
-2.05%
Jun 12, 2025 - Jun 24, 2025
#7-0.62%
Dec 26, 2025 - Jan 2, 2026
-1.86%
Aug 18, 2025 - Aug 26, 2025
#8-0.57%
Jan 12, 2026 - Jan 16, 2026
-1.53%
Aug 28, 2025 - Sep 9, 2025
#9-0.27%
Jan 6, 2026 - Jan 9, 2026
-1.45%
Dec 26, 2024 - Jan 3, 2025
#10N/A-1.39%
Jul 28, 2025 - Aug 4, 2025
#11N/A-1.37%
Dec 17, 2024 - Dec 23, 2024
#12N/A-1.35%
Sep 19, 2025 - Oct 6, 2025
#13N/A-1.26%
May 14, 2026 - May 22, 2026
#14N/A-0.98%
Feb 11, 2026 - Feb 18, 2026
#15N/A-0.92%
Sep 9, 2025 - Sep 11, 2025

Correlation

Correlation between TACN and EMPB is 0.71 which considered as a strong positive correlation - the stocks tend to move together.

0.71
-101

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