Category Global or ExUS Equities - Factor & Thematic
Asset Type Equities (Stocks)
Tags International
Return% 1Y 21.47%
Shs Outstand
Perf Week 0.39%
Sponsor Schwab
ETF Type
Tags equity
Return% 3Y 7.26%
Total Holdings 931
Perf Month 4.67%
Fund Family
Bond Type
Tags ETFs
Return% 5Y 8.63%
AUM 12.81B
Perf Quarter 5.45%
Index Russell RAFI Dev ex-U.S. Large Company I...
Average Maturity
Tags fundamental
Return% 10Y
NAV%
Perf Half Y 12.41%
Index Weighting
Commodity Type
Tags large-cap
Return% SI
NAV/sh
Perf Year 16.68%
Active/Passive
Quant Type
Tags -
Flows% 1M 0.66%
52W Range 30.16 - 35.66
Perf YTD 5.57%
Dividend TTM 1.15 (3.23%)
ESG Type
Tags -
Flows% 3M 1.81%
52W High -0.14%
Beta 0.87
Dividend Ex-Date Dec 06, 2023
Dividend Type
Sector/Theme
Flows% YTD 1.81%
52W Low 18.07%
ATR (14) 0.24
Expense 0.25%
Structure Type
Region
Flows% 1Y
RSI (14) 72.02
Volatility 0.43% 0.61%
Option/Short Yes / Yes
Growth/Value
Dev/Emerg
Flows% 3Y
Rel Volume 0.68
Prev Close 35.65
Inverse/Leveraged
Market Cap
Currency
Flows% 5Y
Avg Volume 1.03M
Price 35.61
SMA20 1.83%
SMA50 4.60%
SMA200 8.71%
Trades
Volume 702,085
Change -0.11%
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Schwab Fundamental International Large Company Index ETF seeks to provide long-term capital appreciation. The fund is an actively-managed ETF and invests in securities of affiliated and unaffiliated ETFs and open-end mutual funds. The fund may allocate among major equity asset classes and sectors, within the underlying funds, of the U.S., foreign and emerging markets equity of any capitalization.
Index -
P/E 29.15
EPS (ttm) 3.07
Insider Own 0.83%
Shs Outstand 159.34M
Perf Week -0.48%
Market Cap 13.85B
Forward P/E 22.68
EPS next Y 3.94
Insider Trans -2.40%
Shs Float 153.71M
Perf Month 0.68%
Income 486.02M
PEG 2.66
EPS next Q 0.65
Inst Own 61.95%
Short Float 2.09%
Perf Quarter -5.49%
Sales 4.25B
P/S 3.26
EPS this Y 16.04%
Inst Trans -14.44%
Short Ratio 7.15
Perf Half Y 32.24%
Book/sh 14.13
P/B 6.32
EPS next Y 5.44%
ROA 13.14%
Short Interest 3.21M
Perf Year 67.05%
Cash/sh 9.11
P/C 9.81
EPS next 5Y 10.94%
ROE 21.85%
52W Range 52.77 - 96.66
Perf YTD -5.99%
Dividend Est. 1.16 (1.30%)
P/FCF 12.88
EPS past 5Y 11.89%
ROI 21.57%
52W High -7.54%
Beta 0.74
Dividend TTM 1.16 (1.30%)
Quick Ratio 1.87
Sales past 5Y 15.80%
Gross Margin 37.44%
52W Low 69.36%
ATR (14) 2.07
Dividend Ex-Date Sep 25, 2023
Current Ratio 2.24
EPS Y/Y TTM 17.25%
Oper. Margin 11.80%
RSI (14) 48.85
Volatility 1.41% 1.91%
Employees 7400
Debt/Eq 0.04
Sales Y/Y TTM -11.68%
Profit Margin 11.44%
Recom 2.44
Target Price 92.69
Option/Short Yes / Yes
LT Debt/Eq 0.03
EPS Q/Q 80.23%
Payout 49.82%
Rel Volume 0.72
Prev Close 88.46
Sales Surprise 0.84%
EPS Surprise 34.39%
Sales Q/Q -1.14%
Earnings Jan 23 BMO
Avg Volume 449.21K
Price 89.37
SMA20 -0.74%
SMA50 1.12%
SMA200 14.67%
Trades
Volume 322,397
Change 1.03%
Date
Action
Analyst
Rating Change
Price Target Change
Jul-05-23 Resumed
JP Morgan
Overweight
$70
Jun-14-23 Downgrade
Citigroup
Buy → Neutral
$73 → $70
May-03-23 Downgrade
UBS
Neutral → Sell
May-01-23 Upgrade
Morgan Stanley
Underweight → Equal-Weight
$40 → $56
Mar-13-23 Downgrade
Credit Suisse
Outperform → Neutral
Feb-22-23 Downgrade
UBS
Buy → Neutral
Feb-21-23 Downgrade
UBS
Buy → Neutral
Jan-12-23 Downgrade
Wedbush
Outperform → Neutral
$70 → $60
Nov-09-22 Initiated
Barclays
Overweight
$65
Jul-27-22 Downgrade
Loop Capital
Buy → Hold
$110 → $55
May-17-22 Upgrade
UBS
Neutral → Buy
Mar-24-22 Initiated
BofA Securities
Buy
$107
Mar-04-22 Upgrade
Loop Capital
Hold → Buy
$80 → $110
Mar-01-22 Upgrade
Wedbush
Neutral → Outperform
$90
Dec-13-21 Initiated
Deutsche Bank
Buy
Sep-28-21 Downgrade
Morgan Stanley
Equal-Weight → Underweight
$119 → $82
Jul-28-21 Downgrade
Loop Capital
Buy → Hold
Jun-25-21 Downgrade
Goldman
Buy → Neutral
Jun-11-21 Downgrade
Morgan Stanley
Overweight → Equal-Weight
$126
Nov-05-20 Upgrade
Kepler
Hold → Buy
Show Previous Ratings
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(The Wall Street Journal) -6.93%
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Logitech International SA is a holding company, which engages in the design, manufacture, and marketing of peripherals for PCs, tablets, and other digital platforms. Its products include mice, keyboards, presentation remotes, headsets, and speakers. The firm offers solutions for healthy computing, wireless charging, streaming, virtual reality, schools, healthcare, and software and apps. Its brands include Logitech, Jaybird, Ultimate Ears, Logitech G, ASTRO Gaming, and Blue Microphones. The company was founded by Daniel Borel, Pierluigi Zappacosta, and Giacamo Marini on October 2, 1981 and is headquartered in Lausanne, Switzerland.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
Harnett Samantha CHIEF LEGAL OFFICER Mar 11 '24 Sale 90.46 100 9,046 11,810 Mar 11 06:40 PM Arunkundrum Prakash CHIEF OPERATING OFFICER Feb 26 '24 Option Exercise 38.65 16,231 627,328 84,079 Feb 27 09:30 PM Arunkundrum Prakash CHIEF OPERATING OFFICER Feb 26 '24 Sale 90.00 23,023 2,072,070 61,056 Feb 27 09:30 PM Arunkundrum Prakash CHIEF OPERATING OFFICER Feb 23 '24 Sale 90.00 699 62,910 67,848 Feb 27 09:30 PM Harnett Samantha CHIEF LEGAL OFFICER Feb 08 '24 Sale 84.17 650 54,710 11,910 Feb 08 08:40 PM Arunkundrum Prakash CHIEF OPERATING OFFICER Feb 06 '24 Sale 85.00 7,194 611,490 68,547 Feb 06 08:44 PM Harnett Samantha Chief Legal Officer May 25 '23 Sale 65.35 800 52,280 13,984 May 25 08:06 PM Harnett Samantha Chief Legal Officer Apr 26 '23 Sale 56.36 2,500 140,891 14,784 Apr 26 09:48 PM
Category Global or ExUS Equities - Industry Sector
Asset Type Equities (Stocks)
Tags U.S.
Return% 1Y 79.81%
Shs Outstand
Perf Week -0.58%
Sponsor Van Eck Associates Corporation
ETF Type
Tags equity
Return% 3Y 25.98%
Total Holdings 27
Perf Month 8.48%
Fund Family
Bond Type
Tags semiconductors
Return% 5Y 35.02%
AUM 18.48B
Perf Quarter 27.94%
Index MVIS US Listed Semiconductor 25 Index
Average Maturity
Tags -
Return% 10Y
NAV%
Perf Half Y 58.45%
Index Weighting
Commodity Type
Tags -
Return% SI
NAV/sh
Perf Year 80.06%
Active/Passive
Quant Type
Tags -
Flows% 1M 8.39%
52W Range 118.57 - 239.14
Perf YTD 28.66%
Dividend TTM 1.04 (0.46%)
ESG Type
Tags -
Flows% 3M 19.79%
52W High -5.92%
Beta 1.37
Dividend Ex-Date Dec 18, 2023
Dividend Type
Sector/Theme
Flows% YTD 20.47%
52W Low 89.75%
ATR (14) 5.63
Expense 0.35%
Structure Type
Region
Flows% 1Y
RSI (14) 59.42
Volatility 1.85% 2.48%
Option/Short Yes / Yes
Growth/Value
Dev/Emerg
Flows% 3Y
Rel Volume 0.42
Prev Close 224.89
Inverse/Leveraged
Market Cap
Currency
Flows% 5Y
Avg Volume 8.92M
Price 224.99
SMA20 0.88%
SMA50 8.85%
SMA200 34.08%
Trades
Volume 3,736,234
Change 0.04%
Category Equity - Leveraged / Inverse
Asset Type Equities (Stocks)
Tags U.S.
Return% 1Y 193.00%
Shs Outstand
Perf Week 0.48%
Sponsor Direxion Shares
ETF Type
Tags equity
Return% 3Y 12.94%
Total Holdings 44
Perf Month 16.91%
Fund Family
Bond Type
Tags semiconductors
Return% 5Y 38.85%
AUM 10.92B
Perf Quarter 43.83%
Index ICE Semiconductor Index
Average Maturity
Tags leverage
Return% 10Y
NAV%
Perf Half Y 163.18%
Index Weighting
Commodity Type
Tags -
Return% SI
NAV/sh
Perf Year 197.70%
Active/Passive
Quant Type
Tags -
Flows% 1M 6.26%
52W Range 12.52 - 56.99
Perf YTD 48.18%
Dividend TTM 0.17 (0.36%)
ESG Type
Tags -
Flows% 3M -9.51%
52W High -18.35%
Beta 4.24
Dividend Ex-Date Mar 19, 2024
Dividend Type
Sector/Theme
Flows% YTD -8.82%
52W Low 271.65%
ATR (14) 3.27
Expense 0.89%
Structure Type
Region
Flows% 1Y
RSI (14) 55.59
Volatility 5.24% 7.21%
Option/Short Yes / Yes
Growth/Value
Dev/Emerg
Flows% 3Y
Rel Volume 0.63
Prev Close 46.50
Inverse/Leveraged
Market Cap
Currency
Flows% 5Y
Avg Volume 71.72M
Price 46.53
SMA20 0.23%
SMA50 15.23%
SMA200 70.22%
Trades
Volume 45,460,268
Change 0.06%
Apr-05-23 12:19PM
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Direxion Daily Semiconductor Bull 3X Shares seeks daily investment results, before fees and expenses, of 300% of the daily performance of the ICE Semiconductor Index. The fund invests at least 80% of its net assets (plus borrowing for investment purposes) in financial instruments, such as swap agreements, securities of the index, and ETFs that track the index and other financial instruments that provide daily leveraged exposure to the index or to ETFs that track the index. The index is a rules-based, modified float-adjusted market capitalization-weighted index that tracks the performance of the thirty largest U.S. listed semiconductor companies. The fund is non-diversified.
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