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 08 12:33PM ET
25.94
Dollar change
-0.04
Percentage change
-0.15
%
CategoryBonds - Broad Market Asset TypeBonds TagsU.S. Return% 1Y8.15% Total Holdings204 Perf Week-0.75%
SponsorTouchstone Investments ETF Type Tagsfixed-income Return% 3Y- AUM202.08M Perf Month0.43%
Fund Family Bond Type Tagsdebt-securities Return% 5Y- NAV/sh Perf Quarter0.19%
Index- Average Maturity Tagscorporate-bonds Return% 10Y 52W High26.58 -2.41% Perf Half Y2.10%
Index Weighting Commodity Type Tagstreasuries Return% SI 52W Low25.15 3.14% Perf YTD2.10%
Active/Passive Quant Type Tagstactical Flows% 1M2.62% Volatility0.35% 0.39% Perf Year1.97%
Dividend TTM1.35 (5.20%) ESG Type Tags- Flows% 3M6.45% ATR (14)0.11 Perf 3Y-
Dividend Ex-DateJun 27, 2025 Dividend Type Sector/Theme Flows% YTD12.87% RSI (14)49.67 Perf 5Y-
Dividend Gr. 3/5Y- - Structure Type Region Flows% 1Y Beta0.25 Perf 10Y-
Expense0.50% Growth/Value SMA20-0.17% Flows% 3Y Rel Volume0.23 Prev Close25.98
Inverse/Leveraged Market Cap SMA500.46% Flows% 5Y Avg Volume8.87K Price25.94
IPOJul 25, 2022 Option/ShortNo / No SMA2000.50% Trades Volume1,021 Change-0.15%
Touchstone Strategic Income Opportunities ETF seeks a high level of current income with a focus on capital preservation. The fund invests, under normal market conditions, at least 80% of its assets in income producing fixed-income securities. In building the fund's portfolio, it invests at least 50% of the fund's portfolio in investment-grade rated debt securities. It may also invest up to 50% of the fund's portfolio in non-investment-grade debt securities. It will generally sell a security if the price/yield no longer adequately compensates for the risk profile or if there is a change to allocation between sectors based on relative value.