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Monthly Dividend ETF

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  • 1042.868
  • -0.164-0.02%
Close Nov 15 16:00 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
Watchlist
BDJBlackRock Enhanced Equity Dividend Trust
9.0100.136+1.53%548.20K4.89M8.8708.8749.0308.8301.64B1.64B181.48M181.48M+2.45%+4.34%+4.22%+9.50%+14.63%+31.56%+26.27%--0.30%0.000.002.25%Asset Management
HDLBUbs Ag London Etracs Mnty Py 2Xlev Us Hgh Div Lw Vol B
14.8140.221+1.51%200.002.94K14.81414.59314.81414.8148.89M8.89M600.00K600.00K+1.20%+3.92%-0.33%+14.74%+36.44%+59.02%+40.92%9.02%0.03%0.000.000.00%--
EFASGlobal X Funds Global X MSCI SuperDividend EAFE ETF
14.4300.170+1.19%9.55K137.23K14.43014.26014.43014.33010.53M10.53M729.94K729.94K-0.76%-2.46%-5.39%-3.45%-0.62%+13.93%+4.93%6.43%1.31%0.000.000.70%--
NETLEtf Series Solutions Net Lease Corp Real Estate Etf
25.0500.165+0.66%7.94K198.71K24.95024.88525.10024.94049.47M49.47M1.98M1.98M-2.07%-0.75%-7.12%-2.27%+12.19%+17.31%+4.48%4.73%0.40%0.000.000.64%--
HYMBSpdr Series Trust Nuveen S&P High Yld Mun B Etf
26.0000.130+0.50%2.01M52.14M25.87025.87026.00025.8002.81B2.81B108.00M108.00M+0.54%+0.81%-0.37%+1.18%+4.53%+12.02%+6.50%4.17%1.86%0.000.000.77%--
DIVGlobal X Funds Global X Superdividend U S Etf
18.5900.090+0.49%113.72K2.11M18.52018.50018.60518.480648.73M648.73M34.90M34.90M-1.06%+1.51%-0.28%+4.18%+10.95%+21.14%+13.67%5.77%0.33%0.000.000.68%--
IRETTIDAL TRUST II IREIT MARKETVECTOR QUALITY REIT INDEX
21.4940.097+0.45%1.36K29.17K21.44721.39821.49421.4004.84M4.84M225.00K225.00K-1.86%+1.01%-4.07%-0.41%+13.86%-53.90%-53.90%2.86%0.61%0.000.000.44%--
PFIGInvesco Fundamental Investment Grade Corporate Bond Etf
23.6500.100+0.42%5.65K133.41K23.55023.55023.71023.55061.49M61.49M2.60M2.60M-0.53%+0.05%-1.15%-0.62%+3.89%+7.32%+3.09%3.97%0.22%0.000.000.68%--
BWXSPDR Bloomberg Barclays Intl Treasury Bd
21.7000.080+0.37%274.75K5.96M21.67021.62021.78021.610939.61M939.61M43.30M43.30M-1.41%-1.41%-3.69%-4.64%+0.99%+0.49%-4.83%1.94%0.64%0.000.000.79%--
MLNVanEck Vectors AMT-Free Long Municipal Index ETF
17.9800.065+0.36%185.75K3.34M17.90017.91518.00017.900538.50M538.50M29.95M29.95M0.00%+0.84%-0.56%+0.33%+3.48%+8.18%+1.50%3.53%0.62%0.000.000.56%--
RVNUXtrackers Municipal Infrastructure Revenue Bond Etf
25.7100.090+0.35%9.30K238.55K25.56025.62025.72025.560140.12M140.12M5.45M5.45M-0.11%+0.74%-0.16%+1.01%+3.57%+9.03%+2.72%2.93%0.17%0.000.000.63%--
FXFSwiss Franc Trust
100.0450.351+0.35%16.38K1.64M99.93099.695100.28499.900145.07M145.07M1.45M1.45M-1.46%-1.99%-2.63%-4.12%+2.60%-0.36%-5.39%0.04%1.13%0.000.000.39%--
FIGSIMPLIFY MACRO STRATEGY ETF
21.6130.071+0.33%3.07K66.27K21.52521.54221.84021.52513.51M13.51M625.00K625.00K-1.26%+3.50%+1.51%+2.52%+2.18%-1.46%-4.69%2.70%0.49%0.000.001.46%--
HYDVanEck High Yield Muni ETF
52.3100.170+0.33%559.83K29.26M52.16052.14052.34052.0803.19B3.19B60.95M60.95M+0.17%+0.52%-0.43%+1.00%+4.15%+9.92%+5.04%4.23%0.92%0.000.000.50%--
BKTBlackrock Income Trust Inc
11.7700.038+0.33%56.01K659.13K11.76011.73211.78911.716250.79M250.79M21.31M21.31M-1.10%-0.18%-2.56%-3.23%+7.00%+12.99%+4.80%8.99%0.26%0.000.000.62%Asset Management
BSMRInvesco BulletShares 2027 Municipal Bond ETF
23.7550.070+0.30%30.52K723.75K23.65023.68523.76023.650182.91M182.91M7.70M7.70M+0.02%+0.59%+0.13%+1.09%+2.94%+5.06%+1.94%2.77%0.40%0.000.000.46%--
SMIVanEck HIP Sustainable Muni ETF
46.4350.135+0.29%2.0093.0046.43546.30046.43546.43511.61M11.61M250.00K250.00K-0.08%+0.52%-0.30%+0.44%+3.23%+6.39%+2.12%2.51%0.00%0.000.000.00%Semiconductors
MUBS&P National Amt-Free Muni Bd Ishares
107.4300.290+0.27%3.71M398.51M107.050107.140107.470106.99040.18B40.18B374.00M374.00M-0.02%+0.63%-0.19%+0.40%+3.11%+5.58%+1.59%2.95%0.99%0.000.000.45%--
EMLCVanEck J.P. Morgan EM Local Currency Bond ETF
23.6700.060+0.25%582.97K13.80M23.66023.61023.71023.6002.71B2.71B114.42M114.42M-1.54%-0.71%-2.69%-2.65%-0.20%+1.22%-1.70%6.37%0.51%0.000.000.47%--
EBNDSPDR Bloomberg Barclays Emerging Markets Local Bond ETF
19.8700.050+0.25%392.18K7.80M19.87019.82019.92519.8301.91B1.91B96.30M96.30M-1.24%-0.85%-2.92%-2.57%+0.55%+2.70%-1.84%5.85%0.41%0.000.000.48%--
BWZSPDR Bloomberg Barclays Short Term International Treasury Bond ETF
25.7420.062+0.24%3.33K85.55K25.63225.68025.75025.632136.43M136.43M5.30M5.30M-1.56%-1.67%-2.97%-3.95%+0.02%-0.07%-4.16%2.39%0.06%0.000.000.46%--
AGZDWisdomtree Interest Rate Hedged U.S. Aggregate Bond Fund
22.5500.050+0.22%17.15K386.18K22.55022.50022.57422.418143.19M143.19M6.35M6.35M+0.22%+0.76%+1.14%+2.01%+3.37%+7.85%+6.20%6.24%0.27%0.000.000.70%--
TFISPDR Nuveen Bloomberg Barclays Municipal Bond ETF
46.0400.100+0.22%2.82M129.91M45.98045.94046.08045.8803.53B3.53B76.65M76.65M-0.02%+0.68%-0.41%-0.06%+3.16%+5.45%+0.40%2.94%3.68%0.000.000.44%--
BSMTInvesco BulletShares 2029 Municipal Bond ETF
23.1000.050+0.22%17.84K411.69K23.01023.05023.12023.010145.53M145.53M6.30M6.30M-0.04%+0.33%-0.24%+0.40%+2.54%+5.14%+0.86%2.77%0.28%0.000.000.48%--
SDEMGlobal X Msci Superdividend Emerging Markets Etf
24.1020.052+0.22%2.48K59.64K24.06024.05024.10224.05035.41M35.41M1.47M1.47M-1.98%-1.36%-4.22%-2.87%-9.13%+9.04%+2.93%7.39%0.17%0.000.000.22%--
NDIVAMPLIFY NATURAL RESOURCES DIVIDEND INCOME ETF
28.9200.062+0.21%5.38K155.90K29.01028.85829.01128.92014.46M14.46M500.00K500.00K+0.66%+3.84%+0.66%+2.52%+1.24%+13.90%+9.83%5.83%1.08%0.000.000.32%--
IBTJIshares Trust Ibonds Dec 2029 Term Treasury Etf
21.4100.045+0.21%354.98K7.60M21.35821.36521.44021.355377.89M377.89M17.65M17.65M-0.33%-0.14%-1.39%-1.46%+3.25%+5.18%+1.57%3.91%2.01%0.000.000.40%--
NYFIshares Trust New York Muni Bond Etf
53.6900.110+0.21%67.23K3.61M53.57053.58053.73253.560799.98M799.98M14.90M14.90M+0.39%+0.66%-0.29%+0.24%+2.88%+5.60%+1.55%2.71%0.45%0.000.000.32%--
AWFAlliancebernstein Glb High Inc Fund Inc
10.7700.020+0.19%224.01K2.40M10.77010.75010.80010.680928.69M928.69M86.23M86.23M-2.09%-0.33%-1.41%-0.44%+5.45%+19.36%+13.88%7.49%0.26%0.000.001.12%Asset Management
BSMPInvesco BulletShares 2025 Municipal Bond ETF
24.5850.045+0.18%33.36K819.22K24.52024.54024.69024.510236.02M236.02M9.60M9.60M+0.27%+0.31%+0.36%+1.02%+2.56%+3.70%+2.35%2.49%0.35%0.000.000.73%--

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