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Trading Oct 18 10:51 ET
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Constituent Stocks
SymbolStock Name
Latest PriceChg% ChgVolumeTurnoverOpenPre CloseHighLowMarket CapFloat CapSharesShs Float5D % Chg10D % Chg20D % Chg60D % Chg120D % Chg250D % Chg% Year-to-dateDiv YieldTTMTurnover RatioP/E (TTM)P/E (Static)AmplitudeIndustry
WatchlistPaper Trade
SDEMGlobal X Msci Superdividend Emerging Markets Etf
25.3000.312+1.25%3.36K85.13K25.33024.98925.42025.30037.17M37.17M1.47M1.47M-1.40%-5.77%+2.45%+3.65%+0.98%+21.50%+7.42%7.10%0.23%0.000.000.48%--
IGLDFT Vest Gold Strategy Target Income ETF®
21.9550.180+0.83%6.69K146.78K21.90021.77521.99021.900130.63M130.63M5.95M5.95M+1.50%+1.74%+2.94%+10.65%+13.57%+27.63%+22.44%7.49%0.11%0.000.000.41%--
SMHBUbs Ag London Etracs Mntly Pay 2X Lvgd Sml Cp Div Sr B
6.2680.048+0.77%3.95K24.52K6.2306.2206.2686.15035.73M35.73M5.70M5.70M+6.24%+2.95%-0.02%+3.63%+7.90%+46.64%+0.34%18.40%0.07%0.000.001.89%--
PGHYInvesco Global Ex US High Yield
20.2800.147+0.73%1.86K37.54K20.15020.13320.28020.150142.97M142.97M7.05M7.05M+0.72%+0.46%+0.74%+4.43%+7.36%+18.15%+9.79%7.51%0.03%0.000.000.65%--
WIPSpdr Series Trust Citi Intl Govt Inflation Protectd Bd Etf
39.0500.260+0.67%62.68K2.46M38.79038.79039.21038.790333.90M333.90M8.55M8.55M-0.18%-0.36%-1.78%+2.53%+3.28%+9.63%-2.72%6.18%0.73%0.000.001.08%--
EBNDSPDR Bloomberg Barclays Emerging Markets Local Bond ETF
20.6150.105+0.51%26.25K540.73K20.59020.51020.62020.5901.99B1.99B96.30M96.30M-0.55%-0.70%-2.31%+3.99%+5.95%+12.13%+1.33%5.62%0.03%0.000.000.15%--
BWXSPDR Bloomberg Barclays Intl Treasury Bd
22.5900.110+0.49%16.97K383.18K22.52022.48022.60022.5201.04B1.04B46.00M46.00M+0.09%-0.48%-2.76%+3.90%+5.41%+9.88%-1.10%1.84%0.04%0.000.000.36%--
SDIVGlobal X Funds Global X Superdiv Etf
22.9200.110+0.48%20.53K470.91K22.99022.81022.99022.900822.52M822.52M35.89M35.89M-0.24%-1.93%+1.73%+5.81%+9.70%+25.23%+10.08%10.39%0.06%0.000.000.40%--
PWZInvesco California Amt-Free Municipal Bond Portfolio
25.0600.110+0.44%20.91K523.68K25.03024.95025.09025.028699.10M699.10M27.90M27.90M+0.36%-0.36%-0.43%+1.68%+4.24%+13.97%+3.12%3.20%0.08%0.000.000.25%--
CLMCornerstone Strategic Value Fund Inc
7.9950.035+0.44%261.95K2.09M7.9807.9608.0007.9641.93B1.93B240.94M240.94M+0.91%+4.28%+7.75%+8.02%+18.10%+38.06%+28.47%16.66%0.11%0.000.000.45%Asset Management
LTPZPimco Etf Trust 15+ Yr Us Tips Index Fd Etf
56.2240.244+0.44%142.48K8.01M56.19055.98056.27656.166732.04M732.04M13.02M13.02M+0.10%-0.66%-2.59%+3.97%+8.57%+16.57%+2.21%3.70%1.09%0.000.000.20%--
ETJEaton Vance Risk-Managed Diversified Equity Income Fund
9.3400.040+0.43%29.97K279.51K9.3309.3009.3509.300628.60M628.60M67.30M67.30M-0.85%+0.43%+2.30%+6.46%+18.47%+33.07%+27.27%7.90%0.05%0.000.000.54%Asset Management
TLTiShares 20+ Year Treasury Bond ETF
94.1800.380+0.41%6.46M607.22M94.05093.80094.21093.96060.95B60.95B647.20M647.20M+0.51%-1.43%-4.45%+3.08%+7.97%+17.69%-1.89%3.88%1.00%0.000.000.27%--
NUSIEtf Series Solutions Nationwide Risk-Managed Income Etf
25.6600.100+0.39%2.85K73.10K25.69025.56025.69025.628331.01M331.01M12.90M12.90M-0.74%+0.55%+1.17%+6.81%+14.87%+38.41%+21.48%7.16%0.02%0.000.000.24%--
PICBInvesco International Corporate Bond ETF
22.9500.089+0.39%885.0020.32K22.95022.86122.96522.950129.67M129.67M5.65M5.65M+0.31%-0.30%-1.96%+3.03%+5.98%+14.61%+1.87%2.84%0.02%0.000.000.07%--
VGLTVanguard Long-Term Treasury ETF
59.2400.220+0.37%456.37K27.00M59.10059.02059.25059.10014.24B14.24B240.33M240.33M+0.41%-1.32%-4.08%+3.15%+8.09%+17.69%-0.79%3.89%0.19%0.000.000.25%--
AFBAlliancebernstein National Muni Inc Fd
11.6800.040+0.34%13.49K157.41K11.67011.64011.68411.620335.74M335.74M28.74M28.74M+0.69%-0.85%+0.59%+5.55%+13.04%+34.25%+11.09%3.44%0.05%0.000.000.55%Asset Management
SCHQSchwab Strategic Tr Long Term U S Treasury Etf
33.6900.110+0.33%40.88K1.38M33.66033.58033.70033.640801.82M801.82M23.80M23.80M+0.42%-1.35%-4.20%+3.13%+8.13%+17.80%-0.82%4.21%0.17%0.000.000.18%--
TLHIshares Trust 10-20 Year Treasury Bd Etf
105.6300.340+0.32%132.22K13.96M105.580105.290105.690105.4607.68B7.68B72.70M72.70M+0.28%-1.15%-3.57%+3.20%+8.03%+17.23%+0.59%4.01%0.18%0.000.000.22%--
CWBSPDR Bloomberg Barclays Emerging Markets Local Bond ETF
77.6000.240+0.31%41.67K3.23M77.58077.36077.65377.4803.80B3.80B49.00M49.00M+0.19%+1.23%+3.11%+7.18%+10.31%+20.39%+8.93%1.77%0.09%0.000.000.22%--
PTYPIMCO Corporate & Income Opportunity Fds
14.5450.045+0.31%149.30K2.17M14.50014.50014.55014.4872.47B2.47B169.89M169.89M+0.38%+1.84%+2.48%+4.72%+6.91%+32.61%+19.38%9.80%0.09%0.000.000.43%Asset Management
FTHIFirst Trust Buywrite Income Etf
23.3900.070+0.30%41.27K964.67K23.41023.32023.41023.325968.91M968.91M41.42M41.42M+0.99%+1.43%+2.17%+6.83%+10.03%+26.76%+17.04%8.31%0.10%0.000.000.36%--
FXECurrencyshares Euro Trust Euro Currency Shares Npv
100.2700.290+0.29%17.28K1.73M100.24099.980100.300100.200180.49M180.49M1.80M1.80M-0.65%-1.01%-2.59%+0.51%+2.29%+4.83%+0.14%2.27%0.96%0.000.000.10%--
AOKiShares Core Conservative Allocation ETF
38.3500.110+0.29%13.64K523.09K38.39038.24038.39038.329619.35M619.35M16.15M16.15M+0.21%+0.24%-0.16%+4.27%+7.90%+19.08%+8.26%3.03%0.08%0.000.000.16%--
HYSPimco Etf Trust 0-5 Yr High Yld Corp Bd Idx Etf
94.9400.270+0.29%8.34K791.51K94.85094.67095.03094.8501.39B1.39B14.65M14.65M+0.27%+0.35%+0.10%+3.39%+6.29%+15.48%+7.81%7.12%0.06%0.000.000.19%--
IGPrincipal Exchange-Traded Fds Principal Invt Grade Corp Active Etf
21.1200.060+0.28%6.36K134.20K21.08521.06021.12021.06188.70M88.70M4.20M4.20M+0.35%-0.18%-1.09%+4.09%+7.67%+15.94%+4.54%4.86%0.15%0.000.000.28%--
IRETTIDAL TRUST II IREIT MARKETVECTOR QUALITY REIT INDEX
22.4600.062+0.28%279.006.26K22.46022.39822.46022.4605.05M5.05M225.00K225.00K+1.87%+1.02%-1.50%+8.30%+18.46%-52.03%-52.03%2.34%0.12%0.000.000.00%--
EMBiShares J.P. Morgan USD Emerging Markets Bond ETF
92.3950.255+0.28%1.15M106.02M92.35092.14092.43092.31015.52B15.52B168.00M168.00M+0.36%-0.12%-0.84%+4.81%+7.61%+21.21%+7.73%4.79%0.68%0.000.000.13%--
HYZDWisdomtree Trust Hedged High Yield Bond Fund
22.2900.060+0.27%862.0019.21K22.24022.23022.29022.240149.34M149.34M6.70M6.70M+0.41%+0.51%+1.07%+2.62%+3.89%+13.61%+7.91%6.11%0.01%0.000.000.23%--
RIETHOYA CAPITAL HIGH DIVIDEND YIELD ETF
11.1800.030+0.27%12.30K137.37K11.17011.15011.18011.13093.02M93.02M8.32M8.32M+3.28%+2.43%+0.42%+6.99%+16.67%+36.93%+10.34%9.18%0.15%0.000.000.45%--