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Etf Name | Etf Symbol | Market | Stock Type |
---|---|---|---|
Day Hagan/ned Davis Research Smart Sector ETF | SSUS | AMEX | Exchange Traded Fund |
Open Price | Low Price | High Price | Close Price | Previous Close |
---|---|---|---|---|
36.77 |
Trades | Etfs Traded | Average Volume | 52 Week Range |
---|---|---|---|
0 | 0 | - | 32.435 - 38.5325 |
Last Trade | Type | Quantity | Price | Currency |
---|---|---|---|---|
- | 0 | 36.77 | USD |
Day Hagan/ned Davis Research Smart Sector ETF Financials
Market Cap | Shares in Issue | Float | Revenue | Profit/Loss | EPS | PE Ratio |
---|---|---|---|---|---|---|
611.30M | - | - | - | 18.26 |
Short Interest | Dividends Per Share | Dividend Yield | Ex-Div Date | Insider B/S | Insider % Owned |
---|---|---|---|---|---|
- | - | - | - |
News Day Hagan/ned Davis Rese...
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SSUS Historical
Period † | Open | High | Low | VWAP | Avg. Daily Vol | Change | % |
---|---|---|---|---|---|---|---|
1 Week | 37.03 | 37.40 | 36.615 | 37.05 | 48,828 | -0.26 | -0.70% |
1 Month | 37.87 | 38.3759 | 36.25 | 37.36 | 84,083 | -1.10 | -2.90% |
3 Months | 36.61 | 38.5325 | 36.25 | 37.38 | 76,320 | 0.16 | 0.44% |
6 Months | 33.43 | 38.5325 | 33.2801 | 36.01 | 83,608 | 3.34 | 9.99% |
1 Year | 33.35 | 38.5325 | 32.435 | 35.43 | 78,479 | 3.42 | 10.25% |
3 Years | 32.59 | 38.5325 | 28.54 | 34.15 | 66,154 | 4.18 | 12.83% |
5 Years | 24.98 | 38.5325 | 19.1802 | 32.97 | 55,172 | 11.79 | 47.20% |
The Funds investment objective is to seek long-term capital appreciation and preservation of capital. The Funds investment advisor, Day Hagan Asset Management (the Advisor), actively manages the Funds portfolio using proprietary investment models co-developed with Ned Davis Research (NDR). The Fund is considered a fund of funds that, under normal market conditions, seeks to achieve its investment objective by principally investing in unaffiliated equity exchange traded funds (ETFs) that track the performance of the individual sectors (Sectors) of the S&P 500 Index (Index). The Fund will attempt to enhance returns relative to 3 the Index by overweighting and underweighting its exposure to the Sectors relative to the Index and may reduce its overall exposure to ETFs as determined by its risk management model. |