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$
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Strive 1000 Dividend Growth ETF

STXD

NYSE
$38.420.28% (-0.10)
High
Low
Returns
1D
1W
1M
1Y
5Y
Max
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1D
1W
1M
1Y
5Y
Max

ETF

Large Blend

Large Cap

With an average market-cap of $221.7B ETF is ranked 1022

Key Metrics

Key Metrics

Expense Ratio
Expense Ratio

The operating and administrative costs of running the fund measured as the percentage of fund assets

0.35%
AUM
AUM

Current market value of the ETF scheme managed by the Asset Management Company

$64.64M
Beta
Beta

Sensitivity of the stock's price relative to the country's key indices over the last 5 years

0.83
Volatility (3Y)
Volatility (3Y)

The annualized standard deviation of the ETF's returns calculated over the last 3 years

11.53%
PE
PE

Ratio of price to the prospective earnings of the ETF's underlyings

23.53
PE Category
PE Category

Ratio of price to the prospective earnings of the holdings of ETFs from the same category

21.54

ETF Profile

Peers

Peers

Exp. Ratio
0.03%
0.03%
PE
21.95
21.95
1Y Return
27.75%
27.75%
Exp. Ratio
0.03%
0.03%
PE
22.01
22.01
1Y Return
27.73%
27.73%
Exp. Ratio
0.095%
0.095%
PE
21.98
21.98
1Y Return
27.7%
27.7%
Exp. Ratio
0.03%
0.03%
PE
21.38
21.38
1Y Return
27.74%
27.74%
Exp. Ratio
0.06%
0.06%
PE
20.90
20.90
1Y Return
18.85%
18.85%

Peers & Comparison

Peers & Comparison

Comparing 2 ETFs from
ETFLarge Blend
ETFTotal AUMTotal AUMExp. RatioExp. Ratio1Y Return1Y Return
Strive 1000 Dividend Growth ETF $64.64M0.35%16.07%
Vanguard S&P 500 ETF$973.41B0.03%27.75%
iShares Core S&P 500 ETF$831.95B0.03%27.73%

Price Comparison

Price Comparison

1 Month

1 Year

5 Years

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Top Holdings

Top Holdings

  • Name
    Holdings
    Sector
  • Broadcom Inc
    Sector: Technology
    Holdings6.00 %
    Broadcom Inc
    AVGO

    Holdings

    6.00 %

    Technology
  • Eli Lilly and Company
    Sector: Healthcare
    Holdings5.35 %
    Eli Lilly and Company
    LLY

    Holdings

    5.35 %

    Healthcare
  • Microsoft Corporation
    Sector: Technology
    Holdings5.12 %
    Microsoft Corporation
    MSFT

    Holdings

    5.12 %

    Technology
  • JPMorgan Chase & Co
    Sector: Financial Services
    Holdings4.91 %
    JPMorgan Chase & Co
    JPM

    Holdings

    4.91 %

    Financial Services
  • Visa Inc. Class A
    Sector: Financial Services
    Holdings3.84 %
    Visa Inc. Class A
    V

    Holdings

    3.84 %

    Financial Services
  • Costco Wholesale Corp
    Sector: Consumer Defensive
    Holdings3.22 %
    Costco Wholesale Corp
    COST

    Holdings

    3.22 %

    Consumer Defensive
  • Mastercard Inc
    Sector: Financial Services
    Holdings2.81 %
    Mastercard Inc
    MA

    Holdings

    2.81 %

    Financial Services
  • Lam Research Corp
    Sector: Technology
    Holdings2.60 %
    Lam Research Corp
    LRCX

    Holdings

    2.60 %

    Technology
  • Applied Materials Inc
    Sector: Technology
    Holdings2.33 %
    Applied Materials Inc
    AMAT

    Holdings

    2.33 %

    Technology
  • Oracle Corporation
    Sector: Technology
    Holdings2.24 %
    Oracle Corporation
    ORCL

    Holdings

    2.24 %

    Technology
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