Opal Dividend Income ETF

Yield per half year: 10.91%
Industry: All Cap Equities

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Parameter Opal Dividend Income ETF iShares Russell Midcap ETF SPDR S&P Dividend ETF iShares Russell Mid-Cap Growth ETF iShares Select Dividend ETF ARK Innovation ETF
Assets 124072616.00 36624734252.00 21537622976.00 15032067752.00 19700450000.00 10850000.00
Price 32.84 87.174 139.62 117.595 132.79 46.04
Annual return 26.3 28.51 23.7 30.1 37.34 0
3 year yield 9.08 4.34 8.65 0.47 6.53 0
5 year yield 0 11.06 9.82 11.23 8.97 0
Commission 0.65 0.19 0.35 0.23 0.38 0.75
Dividends 3.9622 1.71565 2.68707 0.69551 4.12019 0.00666
Average P/E 15.83961 18.69636 19.56969 27.55404 13.91029 43.72281
Number of securities in ETF 32 808 133 289 10 31
Category All Cap Equities All Cap Equities All Cap Equities All Cap Equities All Cap Equities All Cap Equities

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Opal Dividend Income ETF

iShares Russell Midcap ETF

SPDR S&P Dividend ETF

iShares Russell Mid-Cap Growth ETF

iShares Select Dividend ETF

ARK Innovation ETF

Top 15 ETF Issuers

Opal Dividend Income ETF iShares Russell Midcap ETF SPDR S&P Dividend ETF iShares Russell Mid-Cap Growth ETF iShares Select Dividend ETF ARK Innovation ETF
Company Share, %
NextEra Energy 5.78636
British American Tobacco 5.01728
Verizon 4.63924
Philip Morris International 4.43657
Exxon Mobil 3.82311
Starbucks 3.66513
Enbridge Inc. 3.61837
Kinder Morgan 3.61569
Medtronic 3.58198
Coca-Cola 3.48247
United Parcel Service, Inc. 3.46809
Citigroup 3.21444
Kenvue Inc. 3.2073
Hershey Company 3.11909
American Electric Power 3.0725
Company Share, %
Palantir Technologies Inc. 0.64315
Aflac 0.51709
Arthur J. Gallagher 0.51163
D.R. Horton 0.48897
Hilton Worldwide 0.47461
Williams 0.47408
ONEOK 0.4712
Simon Property 0.46268
Realty Income 0.46124
The Bank of New York Mellon 0.45576
United Rentals 0.44716
Digital Realty 0.43976
Ross Stores 0.43624
The Allstate Corporation 0.43081
Crown Castle International 0.43036
Company Share, %
Realty Income 2.70296
Kenvue Inc. 2.36668
IBM 1.91572
Xcel Energy 1.89232
Edison International 1.71612
The Southern Company 1.70301
Medtronic 1.6984
AbbVie 1.69496
Consolidated Edison 1.68751
Chevron 1.66312
Wec Energy Group 1.56013
Johnson & Johnson 1.52726
Kimberly-Clark Corporation 1.5025
PepsiCo 1.45646
Exxon Mobil 1.42075
Company Share, %
Palantir Technologies Inc. 2.67976
The Trade Desk, Inc. 1.73289
Ameriprise Financial 1.50699
Monolithic Power Systems, Inc. 1.4987
IDEXX 1.4956
W.W. Grainger 1.39755
Fair Isaac Corporation 1.39017
Gartner, Inc. 1.38586
Old Dominion Freight Line 1.36415
CoreSite Realty Corporation 1.35643
Verisk 1.35061
Vistra Corp. 1.33058
Datadog, Inc. 1.22816
Fastenal Company 1.22233
Vertiv Holdings Co. 1.21175
Company Share, %
Altria Group 3.21456
Philip Morris International 1.98655
AT&T 1.92775
Citizens 1.87251
Truist Financial 1.84844
International Paper Company 1.81539
KeyCorp 1.74167
Verizon 1.71926
ONEOK 1.7159
Dominion Energy 1.69074
Company Share, %
Roku 9.79335
Tesla 9.66081
Coinbase Global 6.98125
Roblox Corporation 6.21641
Palantir Technologies Inc. 5.91547
Robinhood Markets 4.87972
Square 4.79616
CRISPR Therapeutics AG 4.37703
Shopify 4.34065
Meta (Facebook) 3.72024
Intellia Therapeutics, Inc. 3.32654
10x Genomics, Inc. 3.14691
UiPath Inc. 2.91943
Unity Software Inc. 2.82053
The Trade Desk, Inc. 2.45467


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