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 03 01:15PM ET
45.51
Dollar change
+0.37
Percentage change
0.82
%
CategoryUS Equities - Industry Sector Asset TypeEquities (Stocks) TagsU.S. Return% 1Y14.25% Total Holdings17 Perf Week2.27%
SponsorDay Hagan ETF Type TagsETFs Return% 3Y13.14% AUM561.11M Perf Month5.26%
Fund Family Bond Type Tagssector-rotation Return% 5Y14.08% NAV/sh Perf Quarter10.75%
Index- Average Maturity Tags- Return% 10Y 52W High45.15 0.80% Perf Half Y7.84%
Index Weighting Commodity Type Tags- Return% SI 52W Low35.27 29.03% Perf YTD8.17%
Active/Passive Quant Type Tags- Flows% 1M-1.38% Volatility0.54% 0.69% Perf Year15.09%
Dividend TTM0.29 (0.63%) ESG Type Tags- Flows% 3M-9.31% ATR (14)0.41 Perf 3Y45.30%
Dividend Ex-DateDec 27, 2024 Dividend Type Sector/Theme Flows% YTD-13.12% RSI (14)74.75 Perf 5Y95.48%
Dividend Gr. 3/5Y12.00% - Structure Type Region Flows% 1Y Beta0.86 Perf 10Y-
Expense0.80% Growth/Value SMA203.47% Flows% 3Y Rel Volume0.32 Prev Close45.14
Inverse/Leveraged Market Cap SMA506.63% Flows% 5Y Avg Volume60.43K Price45.51
IPOJan 17, 2020 Option/ShortYes / Yes SMA2007.93% Trades Volume19,165 Change0.82%
Apr-19-25 02:25AM
Jul-01-22 04:30PM
Sep-29-21 04:15PM
Oct-08-20 06:09AM
Day Hagan/Ned Davis Research Smart Sector ETF seeks long-term capital appreciation and preservation of capital. The fund is considered a "fund of funds" that, under normal market conditions, seeks to achieve its investment objective by principally investing in unaffiliated equity exchange traded funds ("ETFs") that track the performance of the individual sectors ("Sectors") of the S&P 500 Index. The Advisor will attempt to enhance returns relative to the index by overweighting and underweighting its exposure to the Sectors relative to the index and may reduce its overall exposure to ETFs as determined by its risk management model. It is non-diversified.