Dow Jones

The Trust"s Portfolio consists of substantially all of the component common stocks that comprise the DJIA, which are weighted in accordance with the terms of the Trust Agreement.

Trend Stats

1-Month Return +4.66%
3-Month Return +11.50%
12-Month Return +23.48%
Volatility Score 1.2
RSI 62.9
ST Trend Up
LT Trend Up

Short-Term Trend

Up

The Short-Term Trend is a metric that gauges an ETF's short-term price trend.

Long-Term Trend

Up

The Long-Term Trend is a metric that gauges an ETF's long-term price trend.

Performance

Dow Jones
S&P 500 Index

Components

Symbol Company Market Cap 12 mo return Performance over the past 12 months 3 mo return Performance over the past 3 months 1 mo return Performance over the past month Vol Score Our gauge of the ETF's recent volatility ST Trend A metric that gauges an ETF's short-term price trend LT Trend A metric that gauges an ETF's long-term price trend
NVDA NVIDIA $5.1T +47.03% +18.00% -5.60% 3.9 Neutral Up
AAPL Apple $4.4T +49.98% +18.62% -1.27% 2.3 Up Up
MSFT Microsoft $3T -15.90% +1.28% -5.05% 3.2 Down Down
AMZN Amazon.Com $2.6T +13.85% +18.47% -6.86% 3.1 Down Up
WMT WALMART $961B +29.21% -4.13% -8.09% 2.6 Down Up
JPM JPMorgan Chase $856B +20.44% +13.26% +7.25% 2.0 Up Up
V Visa-A $616B -8.19% +5.65% -0.59% 2.1 Neutral Down
JNJ Johnson&Johnson $567B +55.62% -1.87% +4.55% 1.9 Neutral Up
CSCO Cisco Systems $474B +87.66% +54.25% +1.66% 3.7 Up Up
CAT Caterpillar $430B +160.47% +34.83% +5.14% 3.6 Up Up
UNH Unitedhealth Gro $373B +37.18% +46.54% +4.96% 2.4 Up Up
CVX Chevron $359B +28.71% -7.50% -4.73% 2.7 Down Up
PG Procter&Gamble $350B -3.79% +0.63% +6.28% 2.0 Up Neutral
KO Coca-Cola Co $348B +17.98% +5.29% +0.76% 1.9 Up Up
HD Home Depot $329B -4.23% -1.99% +11.69% 2.5 Neutral Down
GS Goldman Sachs Gr $317B +74.86% +38.19% +13.96% 3.2 Up Up
MRK Merck $284B +46.67% +0.84% +3.90% 2.9 Down Up
IBM IBM $253B -2.22% +9.91% +22.53% 5.3 Up Down
AXP American Express $229B +15.18% +12.16% +6.99% 2.2 Up Down
MCD McDonald's $203B -1.09% -11.76% +4.22% 1.7 Down Down
VZ Verizon Comm $197B +18.21% -7.01% +1.51% 2.3 Neutral Up
AMGN Amgen $189B +22.16% -3.56% +7.42% 2.5 Up Up
BA Boeing Co $180B +13.51% +9.08% +3.84% 3.2 Neutral Up
DIS Walt Disney $177B -13.95% +2.42% -1.00% 2.1 Down Down
HON HONEYWELL INTL $144B +10.02% -2.49% +6.65% 3.2 Neutral Up
CRM Salesforce $135B -37.01% -14.23% -4.92% 5.5 Down Down
MMM 3M $83B +11.11% +5.36% +8.77% 2.6 Up Neutral
SHW Sherwin-Williams $79B -3.73% +0.40% +6.99% 2.6 Neutral Down
NKE NIKE -B- $67B -24.98% -15.52% +8.89% 3.2 Neutral Down
TRV Travelers Cos $65B +17.43% +1.74% +2.67% 2.1 Neutral Up