PSh S&P 500 Div Arc

Trend Stats

1-Month Return -0.79%
3-Month Return +7.11%
12-Month Return +12.80%
Volatility Score 0.9
RSI 46.7
ST Trend Neutral
LT Trend Up

Short-Term Trend

Neutral

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

PSh S&P 500 Div Arc
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
WMT WALMART $850B +7.49% -8.79% -3.72% 2.3 Down Down
JNJ Johnson&Johnson $663B +57.73% +21.22% +8.50% 1.9 Up Up
XOM EXXONMOBIL HLDG $656B +50.23% +5.57% +4.25% 2.1 Up Up
ABBV AbbVie $453B +24.40% +14.82% +5.19% 2.1 Neutral Up
CVX Chevron $409B +41.10% +11.72% +10.51% 1.9 Up Up
KO Coca-Cola Co $379B +33.26% +15.38% +1.74% 1.5 Neutral Up
CAT Caterpillar $374B +94.12% -13.29% -7.14% 3.0 Down Up
PG Procter&Gamble $340B -5.80% +4.80% -1.06% 1.5 Neutral Neutral
IBM IBM $221B -3.03% -21.60% +0.61% 2.4 Down Down
LIN LINDE $220B +3.09% -5.58% -1.13% 1.6 Down Neutral
PEP PEPSICO $188B -2.18% -1.12% +0.00% 1.6 Down Down
ABT Abbott Laborator $187B -16.63% +20.18% +2.72% 2.4 Up Neutral
MCD McDonald's $181B -16.58% -5.58% -4.04% 1.8 Down Down
NEE NextEra Energy $174B +21.05% -1.17% -3.60% 1.4 Down Down
CB Chubb N $132B +24.72% +8.95% -1.93% 1.6 Down Up
SPGI S&P Global $131B -16.84% +5.80% +7.75% 2.4 Up Down
MDT Medtronic $120B +4.66% +15.98% +9.25% 2.3 Up Up
LOW Lowe's Com $115B -22.71% -0.88% -6.25% 2.5 Down Down
ADP Automatic Data P $110B -3.59% +20.93% +2.59% 2.0 Up Up
GD Genl Dynamics Co $97B +13.28% +5.70% -6.84% 1.9 Down Neutral
EMR Emerson Electric $85B +17.10% +7.94% -3.46% 2.3 Neutral Up
SHW Sherwin-Williams $81B -9.55% +11.46% -7.49% 2.2 Down Neutral
CTAS Cintas $80B -0.98% +11.69% -1.31% 1.7 Neutral Up
ECL Ecolab Inc $78B +3.18% +10.11% -1.36% 1.9 Neutral Neutral
ITW Illinois Tool Wo $77B +4.02% +8.22% -8.45% 1.8 Down Neutral
TGT Target $75B +83.64% +33.79% +11.88% 2.9 Up Up
CL Colgate-Palmoliv $71B +6.88% +4.91% -4.06% 1.8 Down Neutral
APD Air Prod&Chemica $67B +6.71% +7.17% +2.23% 2.0 Neutral Up
GWW WW Grainger $62B +34.42% +2.92% +2.05% 1.7 Down Up
NUE Nucor $59B +79.66% -0.22% -4.73% 3.3 Up Up
AFL AFLAC $59B +11.91% +2.18% -5.87% 1.7 Down Up
O Realty Inm REIT $58B +8.94% +3.84% -2.20% 1.2 Down Neutral
CAH Cardinal Health $57B +66.99% +22.79% +5.84% 2.3 Up Up
FAST Fastenal $57B +5.60% +5.75% -0.22% 2.1 Neutral Up
BDX Becton Dickinson $50B -1.62% +24.39% +8.59% 2.2 Up Up
ADM Archer-Daniels M $41B +38.36% +2.13% +6.61% 3.0 Up Up
ROP ROPER TECHNOLOGI $40B -20.75% +23.06% +3.70% 2.5 Up Up
ED Consolidated Edi $40B +13.05% +3.93% -0.22% 1.5 Down Neutral
SYY Sysco $38B -0.16% +8.38% -3.31% 1.7 Down Neutral
KVUE Kenvue $36B +5.48% +12.26% -3.07% 1.7 Down Up