NEW: We've expanded Stock Detail, Screener, and Maps with new data

Stock Detail, Screener:
3, 5, 10-Year Performance
EV/EBITDA, EV/Sales
Dividend Growth (1, 3, 5 Years)
EPS & Sales Growth (3 Years)

Maps:
All from Screener plus:
ROA, ROE, ROIC
Quick & Current Ratios
LT Debt and Debt to Equity Ratios
Gross, Operating, and Net Margins

Last Close
Jul 11 04:00PM ET
100.33
Dollar change
+0.04
Percentage change
0.04
%
CategoryBonds - Broad Market Asset TypeBonds TagsU.S. Return% 1Y4.52% Total Holdings7 Perf Week0.08%
SponsorExchange Traded Concepts ETF Type Tagsfixed-income Return% 3Y4.64% AUM137.95M Perf Month0.09%
Fund Family Bond Type Tagsdebt-securities Return% 5Y2.92% NAV/sh Perf Quarter0.11%
Index- Average Maturity Tags- Return% 10Y 52W High100.60 -0.27% Perf Half Y0.19%
Index Weighting Commodity Type Tags- Return% SI 52W Low99.42 0.92% Perf YTD0.26%
Active/Passive Quant Type Tags- Flows% 1M-5.17% Volatility0.03% 0.03% Perf Year0.06%
Dividend TTM4.68 (4.67%) ESG Type Tags- Flows% 3M9.96% ATR (14)0.05 Perf 3Y0.17%
Dividend Ex-DateJun 27, 2025 Dividend Type Sector/Theme Flows% YTD1.83% RSI (14)56.44 Perf 5Y0.20%
Dividend Gr. 3/5Y143.31% 20.12% Structure Type Region Flows% 1Y Beta0.00 Perf 10Y-
Expense0.20% Growth/Value SMA200.04% Flows% 3Y Rel Volume0.04 Prev Close100.29
Inverse/Leveraged Market Cap SMA500.08% Flows% 5Y Avg Volume10.83K Price100.33
IPOJul 11, 2018 Option/ShortNo / Yes SMA2000.06% Trades Volume385 Change0.04%
May-07-25 02:35PM
May-04-25 10:10AM
Apr-28-25 01:27PM
Apr-24-25 03:05AM
Apr-22-25 03:36PM
01:49PM Loading…
Apr-21-25 01:49PM
Apr-16-25 03:35AM
Apr-14-25 11:05AM
Apr-12-25 12:30AM
Apr-07-25 09:40AM
Apr-04-25 11:45PM
08:30AM
Mar-26-25 04:20AM
Mar-24-25 09:40AM
Mar-20-25 01:15AM
ClearShares Ultra-Short Maturity ETF seeks current income. The fund is an actively-managed exchange-traded fund ("ETF") that seeks to achieve its investment objective primarily by investing in repurchase agreements collateralized by U.S. government securities. It is not a money market fund and does not seek to maintain a stable net asset value ("NAV") of $1.00 per share.