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Monthly Dividend ETF

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  • 1051.173
  • -3.658-0.35%
Trading Oct 21 10:03 ET
1052.248High1051.092Low
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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
RATEGLOBAL X INTEREST RATE HEDGE ETF
19.0500.417+2.24%454.008.64K19.02918.63319.05019.0291.90M1.90M100.00K100.00K+1.29%+3.71%+9.29%-0.57%-12.99%-17.39%+5.02%31.42%0.45%0.000.000.11%--
TPHDTimothy Plan High Dividend Stock Etf
38.3090.339+0.89%3.83K146.65K38.25037.97038.31838.250289.23M289.23M7.55M7.55M+0.34%+1.94%+2.27%+6.10%+11.20%+32.03%+17.74%2.04%0.05%0.000.000.18%--
QDIVGlobal X S&P 500 Quality Dividend Etf
36.6300.140+0.38%201.007.36K36.63036.49036.63036.63031.87M31.87M869.96K869.96K+0.38%+1.90%+1.74%+6.83%+12.97%+27.89%+16.04%2.83%0.02%0.000.000.00%--
ETJEaton Vance Risk-Managed Diversified Equity Income Fund
9.3440.034+0.37%17.95K167.68K9.3409.3109.3509.330628.87M628.87M67.30M67.30M-1.23%+1.34%+2.01%+6.09%+18.23%+34.18%+27.32%7.28%0.03%0.000.000.22%Asset Management
IGLDFT Vest Gold Strategy Target Income ETF®
22.0900.080+0.36%13.25K292.74K22.34022.01022.34022.010131.43M131.43M5.95M5.95M+2.17%+2.46%+3.27%+10.57%+15.84%+28.52%+23.20%7.44%0.22%0.000.001.50%--
PFIGInvesco Fundamental Investment Grade Corporate Bond Etf
24.0100.085+0.35%170.004.04K23.89023.9250.0000.00066.03M66.03M2.75M2.75M+0.61%+0.72%-0.31%+3.29%+6.48%+11.93%+4.66%4.22%0.01%0.000.000.00%--
CMBSIshares Cmbs Bond Etf
48.1000.170+0.35%885.0042.52K47.96047.93048.29047.960468.98M468.98M9.75M9.75M+0.46%-0.06%-0.98%+2.51%+6.33%+11.77%+5.34%3.16%0.01%0.000.000.69%--
FLOWGlobal X U.S. Cash Flow Kings 100 ETF
32.5400.089+0.28%411.0013.37K32.54032.45132.54032.5404.23M4.23M130.00K130.00K+0.78%+1.23%+2.41%+3.04%+10.14%+30.29%+16.64%2.01%0.32%0.000.000.00%Specialty Industrial Machinery
NUSIEtf Series Solutions Nationwide Risk-Managed Income Etf
25.7200.070+0.27%9.63K247.13K25.65025.65025.72025.642331.79M331.79M12.90M12.90M-0.89%+1.02%+1.13%+6.56%+15.99%+38.59%+21.77%7.14%0.08%0.000.000.31%--
HYHGProshares High Yield Interest Rate Hedged
65.2000.164+0.25%433.0028.23K65.20065.03665.20065.200143.44M143.44M2.20M2.20M+0.19%+0.62%+1.39%+2.71%+4.88%+14.88%+9.01%6.57%0.02%0.000.000.00%--
BSMTInvesco BulletShares 2029 Municipal Bond ETF
23.2100.055+0.24%77.001.78K23.11023.1550.0000.000132.30M132.30M5.70M5.70M+0.39%+0.11%-0.15%+1.35%+2.87%+9.08%+1.34%2.98%0.00%0.000.000.00%--
PVIInvesco Floating Rate Municipal ETF
24.8650.058+0.23%47.001.16K24.72024.8070.0000.00036.06M36.06M1.45M1.45M-0.31%+0.62%+0.44%+0.94%+1.54%+3.05%+2.60%3.04%0.00%0.000.000.00%--
BSMOInvesco BulletShares 2024 Municipal Bond ETF
24.9000.057+0.23%10.00248.0024.80024.8430.0000.000176.79M176.79M7.10M7.10M+0.35%+0.51%+0.51%+0.94%+1.73%+3.78%+2.11%2.72%0.00%0.000.000.00%--
PGHYInvesco Global Ex US High Yield
20.0800.039+0.20%5.48K110.16K20.08020.04120.08020.070141.56M141.56M7.05M7.05M+0.25%+0.35%+0.39%+4.02%+7.65%+17.13%+9.35%8.18%0.08%0.000.000.05%--
BSMPInvesco BulletShares 2025 Municipal Bond ETF
24.5400.042+0.17%161.003.95K24.54024.49824.54024.540230.68M230.68M9.40M9.40M+0.38%+0.46%+0.62%+0.75%+2.56%+4.98%+2.16%2.68%0.00%0.000.000.00%--
FXFSwiss Franc Trust
102.9100.167+0.16%2.44K250.51K102.870102.743102.910102.870154.37M154.37M1.50M1.50M-0.17%-1.12%-1.95%+2.21%+6.33%+3.14%-2.68%0.05%0.16%0.000.000.04%--
GYLDArrow Dow Jones Global Yield ETF
13.5000.020+0.15%2.07K27.96K13.55013.48013.56813.50021.26M21.26M1.58M1.58M+0.59%-0.21%+1.51%+5.37%+11.51%+27.11%+11.18%10.44%0.13%0.000.000.50%--
NDIVAMPLIFY NATURAL RESOURCES DIVIDEND INCOME ETF
28.9000.041+0.14%1.10K31.76K28.96028.85928.96028.90014.45M14.45M500.00K500.00K-1.50%-2.17%+0.88%+0.40%+2.66%+15.84%+9.27%5.88%0.22%0.000.000.21%--
IRETTIDAL TRUST II IREIT MARKETVECTOR QUALITY REIT INDEX
22.5300.030+0.13%289.006.50K22.53022.50022.53022.5305.07M5.07M225.00K225.00K+1.42%+2.34%-2.61%+6.57%+20.03%-51.88%-51.88%2.33%0.13%0.000.000.00%--
BKLNInvesco Senior Loan ETF
21.0190.023+0.11%735.96K15.47M21.02020.99521.02021.0007.35B7.35B349.78M349.78M+0.21%+0.68%+1.07%+2.59%+4.47%+10.13%+6.67%9.42%0.21%0.000.000.09%--
PTYPIMCO Corporate & Income Opportunity Fds
14.5560.016+0.11%106.76K1.55M14.54014.54014.56014.5302.47B2.47B169.89M169.89M+0.59%+1.21%+2.34%+4.79%+6.99%+31.41%+19.47%9.80%0.06%0.000.000.21%Asset Management
BDJBlackRock Enhanced Equity Dividend Trust
8.7090.009+0.10%39.93K347.59K8.7008.7008.7208.7001.58B1.58B181.48M181.48M+0.06%+2.88%+2.40%+6.78%+13.07%+34.28%+21.28%--0.02%0.000.000.23%Asset Management
YYYAmplify High Income ETF
12.2800.010+0.08%58.48K716.85K12.25012.27012.28512.250531.09M531.09M43.25M43.25M+0.16%+0.65%+0.49%+5.96%+11.19%+30.87%+15.70%12.00%0.14%0.000.000.29%--
TPHETIMOTHY PLAN HIGH DIVIDEND STOCK ENHANCED ETF
26.1000.016+0.06%710.0018.53K26.08126.08426.10026.08178.29M78.29M3.00M3.00M+0.36%+1.95%+2.11%+6.13%+11.18%+25.25%+17.56%2.06%0.02%0.000.000.07%--
FLTRVanEck IG Floating Rate ETF
25.4440.014+0.06%49.58K1.26M25.43025.43025.45025.4301.66B1.66B65.15M65.15M+0.02%+0.10%+0.57%+1.34%+2.93%+7.27%+5.93%6.18%0.08%0.000.000.08%--
SRLNSsga Active Etf Tr Blackstone / Gso Sr Ln Etf
41.9300.020+0.05%257.57K10.80M41.94041.91041.94541.9306.60B6.60B157.45M157.45M+0.17%+0.70%+1.10%+2.80%+4.38%+10.38%+6.83%8.89%0.16%0.000.000.04%--
SHYDVanEck Vectors Short High-Yield Municipal Index ETF
22.8400.010+0.04%663.0015.14K22.84022.83022.84022.840307.20M307.20M13.45M13.45M+0.93%+0.57%+0.83%+2.91%+4.13%+10.27%+5.66%3.07%0.01%0.000.000.00%--
IBMOIshares Ibonds Dec 2026 Term Muni Bond Etf
25.5400.010+0.04%2.07K52.80K25.55025.53025.55025.540492.92M492.92M19.30M19.30M-0.08%-0.08%-0.21%+0.98%+2.39%+5.21%+1.73%2.03%0.01%0.000.000.04%--
FCALFirst Trust California Municipal High Income Etf
50.1500.020+0.04%1.16K57.97K50.14050.13050.15050.140260.78M260.78M5.20M5.20M+0.31%+0.12%+0.13%+1.63%+3.41%+10.45%+2.73%2.88%0.02%0.000.000.02%--
TFLOIshares Treasury Floating Rate Bond Etf
50.5500.020+0.04%199.27K10.07M50.54050.53050.55050.5406.90B6.90B136.40M136.40M+0.12%+0.20%+0.38%+1.10%+2.38%+5.26%+4.31%5.40%0.15%0.000.000.02%--

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