Components First Trust SMID Cap Rising Dividend Achievers ETF - USD

ETF

SDVY

US33741X1028

Market Closed - Nasdaq 01:30:00 26/06/2024 am IST 5-day change 1st Jan Change
33.34 USD -0.95% Intraday chart for First Trust SMID Cap Rising Dividend Achievers ETF - USD -0.09% +1.74%

Composition of First Trust SMID Cap Rising Dividend Achievers ETF - USD

Weight
131.5 USD +0.37%+9.39%+20.00%1.14%
117.8 USD -3.13%-6.75%-8.96%1.11%
99.41 USD -0.50%+2.29%-1.11%1.08%
50.82 USD -0.29%+2.87%+12.38%1.07%
80.13 USD -1.29%-1.18%+15.88%1.07%
45.16 USD -0.79%+3.51%+18.25%1.06%
56.55 USD -1.38%+1.04%+7.22%1.05%
80.11 USD -0.89%+2.21%+1.83%1.04%
30.94 USD -1.50%+1.41%+8.37%1.04%
280 USD -0.73%-1.12%+0.13%1.04%
35.48 USD -0.17%-0.17%+20.35%1.03%
71.76 USD -1.48%+0.83%-0.26%1.03%
62.45 USD -3.36%-1.26%+9.81%1.03%
48.28 USD -0.49%+2.42%-13.49%1.03%
56.98 USD +0.58%+3.26%+20.85%1.03%
20.66 USD -1.57%+0.73%+8.05%1.03%
82.82 USD -3.18%-6.57%+16.93%1.03%
21.37 USD -1.75%+1.67%+10.78%1.03%
48.7 USD -2.17%-0.92%-4.55%1.02%
194.5 USD -1.18%-4.94%+13.69%1.02%
86.53 USD -0.78%+1.98%+5.43%1.02%
93.2 USD -0.95%-0.14%-20.49%1.02%
38.55 USD +0.08%+0.92%-0.28%1.02%
54.95 USD -0.92%+0.26%+1.16%1.02%
39.69 USD -1.76%-0.90%+13.66%1.02%
53.69 USD -1.81%+5.81%+7.29%1.02%
37.04 USD -0.86%+0.27%-22.05%1.02%
49.39 USD -0.92%+3.94%+27.56%1.02%
41.99 USD -1.08%+1.43%-4.29%1.02%
200 USD -2.21%-1.17%-7.89%1.01%
17.93 USD +1.30%+3.34%-14.54%1.01%
37.27 USD -1.90%-8.43%+0.95%1.01%
128.6 USD -1.69%-1.82%+7.75%1.01%
59.34 USD +0.10%+4.00%+4.36%1.01%
168.9 USD -0.02%+1.27%+1.59%1.01%
79.4 USD -2.48%-1.15%-12.88%1.01%
96 USD -0.63%+2.62%+3.50%1.00%
110 USD -2.34%-0.99%+6.61%1.00%
146.4 USD -2.71%-3.09%+4.59%1.00%
51.75 USD +0.33%+0.19%+13.99%1.00%
51.49 USD -0.04%+2.35%-5.83%1.00%
36.85 USD -0.57%+1.77%-17.32%1.00%
29.15 USD -1.22%-1.45%-10.69%1.00%
53.72 USD -0.39%+0.52%-6.51%1.00%
89.8 USD -1.03%-1.49%+3.80%1.00%
73.32 USD -0.18%+2.59%+43.20%0.99%
147.6 USD +1.40%-2.75%+35.98%0.99%
25.34 USD -0.67%+2.72%+19.02%0.99%
31.07 USD -1.93%0.00%-28.87%0.99%
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ETF Ratings

Description

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
01/11/2017
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 31/05/2024 )

AuM (EUR) 4,093 M€
AuM 1M 3,752 M€
AuM 3 months 3,181 M€
AuM 6 months 1,764 M€
AuM 12 months 972 M€
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