1 844 55 INDXX (46399)

Indices

Indxx SuperDividend U.S. Low Volatility Index

The Indxx SuperDividendĀ® U.S. Low Volatility Index is designed to track the performance of companies in the United States that have a high dividend yield and low beta.

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Index Characteristics

Base Date 02/29/2008
No. of Constituents 48
Dividend Yield
*
7.78%
52 Week High/Low
**
2429/2096
* Trailing 12 months data for current year portfolio
** Trailing 12 months

Index Constituents

ISIN Company Name Country Weight(%)
US0357104092 Annaly Capital Management Inc United States 3.46%
US1096411004 Brinker Intl. United States 2.88%
US00130H1059 Aes Corp United States 2.76%
US6496045013 New York Mortgage Trust Inc United States 2.61%
US70931T1034 Pennymac Mortgage Investment United States 2.59%
US3379321074 Firstenergy United States 2.53%
US29364G1031 Entergy Corp United States 2.51%
US70338P1003 Pattern Energy Group Inc United States 2.47%
US7170811035 Pfizer Inc United States 2.47%
US9134561094 Universal Corp/va United States 2.46%
US26441C2044 Duke Energy Corp United States 2.45%
US16934Q2084 Chimera Investment Corp United States 2.41%
US92343V1044 Verizon Communications Inc United States 2.39%
US8425871071 Southern Company The United States 2.39%
US69318Q1040 Pbf Logistics Lp United States 2.39%
US89376V1008 Transmontaigne Partners Lp United States 2.33%
US55272X1028 Mfa Financial Inc United States 2.28%
US24664T1034 Delek Logistics Partners Lp United States 2.25%
US6353091076 National Cinemedia Inc United States 2.2%
US7185492078 Phillips 66 Partners Lp United States 2.17%
US03762U1051 Apollo Commercial Real Estate United States 2.17%
US30231G1022 Exxon Mobil Corp United States 2.17%
US2091151041 Consolidated Edison Inc United States 2.16%
US05351W1036 Avangrid Inc United States 2.15%
US69351T1060 Ppl Corp United States 2.12%
US00123Q1040 Agnc Investment Corp United States 2.11%
US20451Q1040 Compass Diversified Holdings United States 2.1%
US00165C1045 Amc Entertainment Holdings Inc United States 2.08%
US3434981011 Flowers Foods Inc United States 2.08%
US0423155078 Armour Residential Reit Inc United States 2.07%
US90187B4086 Two Harbors Investment Corp United States 2.07%
US34960P1012 Fortress Transportation & Infrastructure Investors Llc United States 2.06%
BMG162581083 Brookfield Renewable Partners Lp United States 1.95%
US0936711052 H&r Block Inc United States 1.86%
US18539C2044 Clearway Energy Inc Class C United States 1.85%
US05508R1068 B&g Foods Inc United States 1.8%
US83001A1025 Six Flags Entertainment Corp United States 1.78%
US00206R1023 At&t United States 1.78%
US7181721090 Philip Morris International United States 1.72%
US3703341046 General Mills Inc United States 1.72%
US02209S1033 Altria Group Inc United States 1.62%
US1501851067 Cedar Fair Lp United States 1.57%
US0309751065 Amerigas Partners Lp United States 1.54%
US3696041033 General Electric Co United States 1.44%
US92240M1080 Vector Group Ltd United States 1.39%
US19626G1085 Colony Capital Inc United States 1.31%
US3793782018 Global Net Lease Inc United States 1.29%

Index Risk & Return Statistics

Statistic QTD YTD 1 Year 3 Year Since Base Date
Beta
1
0.42 0.42 0.45 0.52 0.69
Correlation
1
0.70 0.70 0.69 0.68 0.88
Returns
2
7.89% 7.89% 3.72% 8.76% 8.11%
Deviation 8.86% 8.86% 10.53% 9.28% 15.26%
1w.r.t.S&P 500 Index TR
2All returns for period greater than 1 year are annualized
Fact Sheet is not available