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Indices

INDXX SUPERDIVIDEND® U.S. LOW VOLATILITY INDEX

The Indxx SuperDividend® U.S. Low Volatility Index is a maximum 50-stock equal weighted index designed to measure the market performance of companies in the United States that have a high dividend yield and low beta. The index has a base date of February 29, 2008 with an initial value of 1,000.

IDIVT
2022-09-30 00:00:00-2241.4600000000000
TR PR
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Back-tested performance is hypothetical and has certain inherent limitations. Back-tested performance differs from live performance and is included for informational purposes only.

Index Characteristics

Base Date 02/29/2008
No. of Constituents 50
Dividend Yield
*
4.16%
52 Week High/Low
**
2682/2241
*Trailing 12 months data for current year portfolio
** Trailing 12 months

Index Constituents

Company Name Country Weight(%)
Sabine Royalty Trust United States 3.00%
Iron Mtn Inc United States 2.41%
Consolidated Edison Inc United States 2.37%
Kimbell Royalty Partners Lp United States 2.36%
Clearway Energy Inc Class C United States 2.36%
American Electric Power Company Inc United States 2.32%
Knot Offshore Partners Lp United States 2.29%
Spartannash Co United States 2.28%
National Fuel Gas Company United States 2.28%
Kellogg Co United States 2.28%
Shell Midstream Partners Lp United States 2.28%
Lumen Technologies Inc United States 2.23%
Ennis Inc United States 2.23%
Avangrid Inc United States 2.21%
Dte Energy Co United States 2.20%
Duke Energy Corp United States 2.15%
Enviva Inc United States 2.11%
International Business Machines Corp United States 2.08%
Msc Industrial Direct Co-a United States 2.07%
Hawaiian Electric Industries United States 2.05%
Usa Compression Partners Lp United States 2.04%
Kraft Heinz Co/the United States 2.01%
Global Net Lease Inc United States 2.01%
Kinder Morgan Inc United States 2.00%
Gilead Sciences Inc United States 2.00%
3m Company United States 1.97%
Crossamerica Partners Lp United States 1.96%
Alexanders Inc United States 1.95%
Icahn Enterprises Lp United States 1.94%
Mplx Lp United States 1.93%
Two Harbors Investment Corp United States 1.93%
Abbvie Inc United States 1.92%
Holly Energy Partners Lp United States 1.89%
Universal Corp/va United States 1.89%
Agnc Investment Corp United States 1.84%
Kkr Real Estate Finance Trus United States 1.82%
Westlake Chemical Partners Lp United States 1.82%
Cogent Communications Holdings Inc United States 1.80%
New York Community Bancorp Inc United States 1.80%
Armour Residential Reit Inc United States 1.77%
Easterly Government Properties Inc United States 1.76%
Tfs Financial Corp United States 1.76%
Philip Morris International United States 1.74%
Altria Group Inc United States 1.72%
Walgreens Boots Alliance Inc United States 1.68%
Petmed Express Inc United States 1.64%
Verizon Communications Inc United States 1.64%
B&g Foods Inc United States 1.46%
Virtu Financial Inc United States 1.39%
Invesco Mortgage Capital United States 1.38%
* Data displayed as of 1st Mar 2021 open and updated on 16th Mar 2021 on web page.

Index Risk & Return Statistics

Statistic QTD YTD 1 Year 3 Year Since Base Date
Beta
1
0.30 0.30 0.42 0.87 0.74
Correlation
1
0.57 0.57 0.58 0.76 0.83
Returns
2
NA -11.58% -3.19% -2.64% 5.69%
Standard Deviation NA 16.55% 15.23% 26.70% 18.07%
1W.R.T.: Indxx 500 Index TR
2As of last trading day.
Fact Sheet is not available