Возможности
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Календарь дивидендных выплат
Календарь див. отсечек
Сообщество
Главная сообщества
Публичные портфели
Популярные активы
Блог
Тарифы
Темная тема
ETF
QVAL
Alpha Architect U.S. Quantitative Value ETF
QVAL
• BATS
60,867 $
+0,197 $
(
0,32%
)
Общее
Дивиденды
Состав фонда
β
Новости
Сообщество
Топ 10 активов (
21,78%
)
показать ещё
VZ - Verizon Communications Inc
2,3%
YZ8 - Permian Resources Corporation
2,2%
T - AT&T Inc
2,2%
WH - Wyndham Hotels & Resorts, Inc
2,2%
MRK - Merck & Co., Inc
2,2%
CTRA - COTERRA ENERGY INC
2,2%
CNK - Cinemark Holdings, Inc
2,1%
DVN - Devon Energy Corporation
2,1%
PHM - PulteGroup, Inc
2,1%
BIIB - Biogen Inc
2,1%
Сектора
Классы
Регионы
VZ - Verizon Communications Inc
2,3%
YZ8 - Permian Resources Corporation
2,2%
T - AT&T Inc
2,2%
WH - Wyndham Hotels & Resorts, Inc
2,2%
MRK - Merck & Co., Inc
2,2%
CTRA - COTERRA ENERGY INC
2,2%
CNK - Cinemark Holdings, Inc
2,1%
DVN - Devon Energy Corporation
2,1%
PHM - PulteGroup, Inc
2,1%
BIIB - Biogen Inc
2,1%
OKE - ONEOK, Inc
2,1%
COP - ConocoPhillips
2,1%
TOL - Toll Brothers, Inc
2,1%
UPS - United Parcel Service, Inc
2,1%
M - Macys, Inc
2,1%
CMCSA - Comcast Corporation
2,1%
TMHC - Taylor Morrison Home Corporation
2,1%
FANG - Diamondback Energy, Inc
2,1%
CCK - Crown Holdings, Inc
2,1%
CCL - Carnival Corporation & Plc
2,1%
PPG - PPG Industries, Inc
2,1%
DHI - D.R. Horton, Inc
2,1%
MO - Altria Group, Inc
2%
CF - CF Industries Holdings, Inc
2%
HAL - Halliburton Company
2%
ALSN - Allison Transmission Holdings, Inc
2%
GAP - GAP
2%
CI - Cigna Corporation
2%
UAL - United Airlines Holdings, Inc
2%
EXEL - Exelixis, Inc
2%
PFE - Pfizer Inc
2%
SNA - Snap-on Incorporated
2%
UTHR - United Therapeutics Corporation
2%
ELV - Elevance Health Inc
2%
NTAP - NetApp, Inc
1,9%
DAL - Delta Air Lines, Inc
1,9%
DELL - Dell Technologies Inc
1,9%
SNX - SYNNEX Corporation
1,9%
INGR - Ingredion Incorporated
1,9%
URBN - Urban Outfitters, Inc
1,9%
HALO - Halozyme Therapeutics, Inc
1,9%
ADT_OLD - ADT
1,9%
HUM - Humana Inc
1,9%
NEM - Newmont Corporation
1,8%
LDOS - Leidos Holdings, Inc
1,8%
QCOM - QUALCOMM Incorporated
1,8%
MLI - Mueller Industries, Inc
1,7%
ADBE - Adobe Inc
1,6%
GPI - Group 1 Automotive, Inc
1,6%
CTSH - Cognizant Technology Solutions Corporation
1,5%