(1.02%) 5 099.96 points
(0.40%) 38 240 points
(2.03%) 15 928 points
(0.11%) $83.66
(-1.16%) $1.619
(0.30%) $2 349.60
(-0.43%) $27.52
(0.42%) $924.40
(0.32%) $0.935
(0.67%) $11.02
(0.13%) $0.800
(-0.07%) $92.11
Live Chart Being Loaded With Signals
In seeking to track the performance of the index, the fund employs a replication strategy, which means that the fund typically invests in substantially all of the securities represented in the index in approximately the same proportions as the index...
Stats | |
---|---|
Dagens volum | 5.04M |
Gjennomsnittsvolum | 6.61M |
Markedsverdi | 54.36B |
EPS | $16.95 ( 2023-03-31 ) |
Last Dividend | $0.360 ( 2023-09-18 ) |
Next Dividend | $0 ( N/A ) |
P/E | 37.86 |
ATR14 | $0.0770 (0.04%) |
Volum Korrelasjon
SPDR Select Sector Fund - Korrelasjon
10 Mest positive korrelasjoner |
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10 Mest negative korrelasjoner |
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Visste du det?
Korrelasjon er en statistisk måling som beskriver forholdet mellom to variabler. Den varierer fra -1 til 1, hvor -1 indikerer en perfekt negativ korrelasjon (hvor en variabel øker, går den andre ned), 1 indikerer en perfekt positiv korrelasjon (hvor en variabel øker, går den andre også opp), og 0 indikerer ingen korrelasjon (det er ingen forhold mellom variablene).
Korrelasjon kan brukes til å analysere forholdet mellom to variabler, ikke bare aksjer. Det er vanligvis brukt innen områder som finans, økonomi, psykologi, og mer.
SPDR Select Sector Fund - Korrelasjon - Valuta/Råvare
SPDR Select Sector Fund - Økonomi
Annual | 2022 |
Omsetning: | $415.40M |
Bruttogevinst: | $415.40M (100.00 %) |
EPS: | $-30.37 |
FY | 2022 |
Omsetning: | $415.40M |
Bruttogevinst: | $415.40M (100.00 %) |
EPS: | $-30.37 |
Financial Reports:
No articles found.
SPDR Select Sector Fund - Dividends
(Q3/22) | (Q4/22) | (Q1/23) | (Q2/23) | (Q3/23) | (Q4/23) | (Q1/24) | (Q2/24) | (Q3/24) | (Q4/24) |
$0.317 (N/A) |
$0.365 (N/A) |
$0.316 (N/A) |
$0.362 (N/A) |
$0.360 (N/A) |
$0 (N/A) |
$0 (N/A) |
$0 (N/A) |
$0 (N/A) |
$0 (N/A) |
Very Unsafe
High risk of being cut
Unsafe
Heightened risk of being cut
Borderline
Moderate risk of being cut
Safe
Unlikely to be cut
Very Safe
Very unlikely to be cut
First Dividend | $0.00100 | 1999-12-17 |
Last Dividend | $0.360 | 2023-09-18 |
Next Dividend | $0 | N/A |
Payout Date | 2023-09-21 | |
Next Payout Date | N/A | |
# dividends | 73 | -- |
Total Paid Out | $13.39 | -- |
Avg. Dividend % Per Year | 0.57% | -- |
Score | 3.26 | -- |
Div. Sustainability Score | 4.20 | |
Div.Growth Potential Score | 1.126 | |
Div. Directional Score | 2.66 | -- |
Year | Amount | Yield |
---|---|---|
1999 | $0.00100 | 0.00% |
2000 | $0 | 0.00% |
2001 | $0 | 0.00% |
2002 | $0.0410 | 0.17% |
2003 | $0.141 | 0.90% |
2004 | $0.418 | 2.04% |
2005 | $0.148 | 0.71% |
2006 | $0.179 | 0.84% |
2007 | $0.194 | 0.83% |
2008 | $0.227 | 0.87% |
2009 | $0.314 | 1.96% |
2010 | $0.323 | 1.39% |
2011 | $0.385 | 1.51% |
2012 | $0.503 | 1.95% |
2013 | $0.608 | 2.04% |
2014 | $0.723 | 2.04% |
2015 | $0.765 | 1.85% |
2016 | $0.843 | 1.99% |
2017 | $0.875 | 1.79% |
2018 | $0.992 | 1.53% |
2019 | $1.059 | 1.71% |
2020 | $1.197 | 1.28% |
2021 | $1.123 | 0.88% |
2022 | $1.291 | 0.74% |
2023 | $1.038 | 0.84% |
2024 | $0 | 0.00% |
The company's low Dividend Sustainability Score (DSS) highlights potential challenges in upholding its current dividend levels. Unfortunately, its low Dividend Growth Potential Score (DGPS) suggests limited prospects for dividend growth. In conclusion, a more vigilant stance is recommended given the company's tentative dividend landscape.
Symbol | Title | Last dividend | Frequency | Years Dividend | Yearly Dividend | Score |
---|---|---|---|---|---|---|
LOMA | Dividend Knight | 2023-06-30 | Quarterly | 2 | 5.23% | 8.53 |
VGI | Dividend Royal | 2024-02-09 | Monthly | 13 | 7.36% | 8.50 |
PHK | Dividend Royal | 2023-11-10 | Monthly | 22 | 6.88% | 8.50 |
KIO | Dividend Royal | 2023-12-14 | Monthly | 12 | 7.05% | 8.50 |
GOF | Dividend Royal | 2023-11-14 | Monthly | 18 | 8.03% | 8.50 |
PCF | Dividend King | 2023-12-18 | Monthly | 38 | 7.05% | 8.50 |
PVL | Dividend King | 2023-11-15 | Monthly | 14 | 9.37% | 8.50 |
NCV | Dividend Royal | 2024-02-09 | Monthly | 22 | 7.68% | 8.50 |
SBR | Dividend Royal | 2023-11-14 | Monthly | 38 | 7.74% | 8.50 |
MTR | Dividend Diamond | 2023-10-30 | Monthly | 39 | 10.10% | 8.50 |
Ratio | Actual Value | Weight | Normalized Value | Score | Range |
---|---|---|---|---|---|
netProfitMarginTTM | 11.50 | 1.500 | 10.00 | 10.00 | [0 - 0.5] |
returnOnAssetsTTM | 0.0870 | 1.200 | 7.10 | 8.52 | [0 - 0.3] |
returnOnEquityTTM | 0.0938 | 1.500 | -0.0688 | -0.103 | [0.1 - 1] |
payoutRatioTTM | 0 | -1.000 | 0 | 0 | [0 - 1] |
currentRatioTTM | 1.156 | 0.800 | 9.22 | 7.38 | [1 - 3] |
quickRatioTTM | 1.066 | 0.800 | 8.43 | 6.75 | [0.8 - 2.5] |
cashRatioTTM | 0.0000109 | 1.500 | -1.111 | -1.667 | [0.2 - 2] |
debtRatioTTM | 0 | -1.500 | 0 | 0 | [0 - 0.6] |
interestCoverageTTM | 0 | 1.000 | -1.111 | -1.111 | [3 - 30] |
operatingCashFlowPerShareTTM | 0 | 2.00 | 0 | 0 | [0 - 30] |
freeCashFlowPerShareTTM | 0 | 2.00 | 0 | 0 | [0 - 20] |
debtEquityRatioTTM | 0 | -1.500 | 0 | 0 | [0 - 2.5] |
grossProfitMarginTTM | 1.000 | 1.000 | 10.00 | 10.00 | [0.2 - 0.8] |
operatingProfitMarginTTM | 0.915 | 1.000 | 10.00 | 10.00 | [0.1 - 0.6] |
cashFlowToDebtRatioTTM | 0 | 1.000 | -1.111 | -1.111 | [0.2 - 2] |
assetTurnoverTTM | 0.00757 | 0.800 | -3.28 | -2.63 | [0.5 - 2] |
Total Score | 4.20 |
Ratio | Actual Value | Weight | Normalized Value | Score | Range |
---|---|---|---|---|---|
peRatioTTM | 14.32 | 1.000 | 8.65 | 0 | [1 - 100] |
returnOnEquityTTM | 0.0938 | 2.50 | -0.0442 | -0.103 | [0.1 - 1.5] |
freeCashFlowPerShareTTM | 0 | 2.00 | 0 | 0 | [0 - 30] |
dividendYielPercentageTTM | 0.766 | 1.500 | 10.00 | 0 | [0 - 0.4] |
operatingCashFlowPerShareTTM | 0 | 2.00 | 0 | 0 | [0 - 30] |
payoutRatioTTM | 0 | 1.500 | 0 | 0 | [0 - 1] |
pegRatioTTM | 0.0213 | 1.500 | -3.19 | 0 | [0.5 - 2] |
operatingCashFlowSalesRatioTTM | 0 | 1.000 | -2.50 | 0 | [0.1 - 0.5] |
Total Score | 1.126 |
SPDR Select Sector Fund -
In seeking to track the performance of the index, the fund employs a replication strategy, which means that the fund typically invests in substantially all of the securities represented in the index in approximately the same proportions as the index. It generally invests substantially all, but at least 95%, of its total assets in the securities comprising the index. The fund is non-diversified.
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