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Charts and data are derived from prices adjusted for both splits and distributions to emphasize total return.

ETF Symbol:
Avg Vol534k
52 wk High48.30
52 wk Low35.37
Inception:Jan 2011
(as of 2019-07-22)
Total Returns:
1 day0.0%
5 day-2.6%
1 month-4.6%
3 month4.9%
6 month12.5%
9 month25.2%
1 year20.8%
Compare Funds:
Correlated Group: Retail (View cGroup) (All Groups)

Correlated Funds

Most Directly Correlated
Regency Centers CorpREG0.75  
UDR IncUDR0.74  
Federal Realty InvFRT0.73  
Liberty PropLPT0.72  
First Indust Rlty TrFR0.72  
Douglas Emmett IncDEI0.71  
Acadia Realty TrustAKR0.71  
Avalon Bay Communities IncAVB0.70  
CareTrust REITCTRE0.70  
Least Correlated
Annaly Capital Management IncNLY0.08  
Western Asset Mort CapitalWMC0.08  
AG Mortgage Investment Trust IncMITT0.08  
New Residential Investment CorpNRZ0.08  
Orchid Island CapitalORC0.06  
Ready Capital CorpRC0.02  
Dynex Capital IncDX0.00  
Plymouth Industrial REITPLYM-0.06  
Most Inversely Correlated
Plymouth Industrial REITPLYM-0.06  
These 126 day (6 month) correlations can be considered short term, focusing on recent price movements.
Correlations are only calculated for actively traded funds. As of: 2019-07-19.

Exchange-traded funds are similar to index funds that trade like a single stock. Until the advent of the ETF, it was impossible to trade indexes this easily through an equity account. Most ETFs are relatively static in make-up, like the SPY or QQQQ index funds. Others, like some of the PowerShares funds, are dynamic and the holdings are changed routinely. ETFs have risks similar to stocks in that their value can rise or fall at the discretion of the marketplace. Some ETFs, like international funds and narrowly based indexes, have special risks that the investor should be aware of. However, used properly ETFs can provide an efficient and effective investment vehicle for achieving results that were near impossible for the typical investor to achieve prior to their development.

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