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DIV | Global X SuperDividend U.S. ETF Holdings

(Stock Exchange: AMEX)
Symbol Name Market Cap Weight Valuation Profitability Growth Health 200SMA Price Change IV IV Rank
VIRT Virtu Financial, Inc. 3.37B 4.29%
39.15 1.64% 53.04% 45.32%
KMI Kinder Morgan, Inc. 58.44B 3.12%
26.30 -2.29% 37.63% 58.56%
SR Spire Inc. 4.47B 3.04%
76.54 -0.67% 57.38% 30.94%
IP International Paper Company 24.11B 2.99%
45.68 -4.09% 35.32% 45.80%
PM Philip Morris International Inc. 266.73B 2.66%
171.36 0.65% 25.10% 32.06%
T AT&T Inc. 198.84B 2.65%
27.70 1.47% 35.04% 54.44%
MO Altria Group, Inc. 99.75B 2.56%
59.15 0.65% 27.11% 38.77%
NHI National Health Investors, Inc. 3.53B 2.54%
75.67 1.08% 33.31% 44.77%
CBL CBL & Associates Properties, Inc. 726.06M 2.50%
23.47 -0.93% 28.05% 56.50%
OGE OGE Energy Corp. 9.14B 2.46%
45.38 -0.72% 36.55% 36.25%
EXE EXPAND ENERGY CORP 2.41%
OHI Omega Healthcare Investors, Inc. 11.21B 2.39%
39.05 2.14% 25.77% 57.90%
MPLX MPLX LP 52.08B 2.39%
50.93 -2.19% 22.31% 57.67%
IBM International Business Machines Corporat... 224.75B 2.33%
241.82 1.02% 45.13% 58.38%
DUK Duke Energy Corporation 94.81B 2.32%
122.02 0.26% 22.66% 48.39%
D Dominion Energy, Inc. 46.34B 2.31%
54.38 0.13% 24.61% 43.91%
UVV Universal Corporation 1.44B 2.15%
58.27 0.09% 38.18% 43.57%
LTC LTC Properties, Inc. 1.65B 2.14%
35.87 0.93% 31.08% 26.30%
AVA Avista Corporation 3.33B 2.14%
41.47 -0.22% 35.83% 53.21%
NWE NorthWestern Corporation 3.57B 2.13%
58.23 -2.15% 42.10% 32.52%
NWN Northwest Natural Holding Company 1.74B 2.12%
43.10 -0.44% 52.29% 32.89%
GLPI Gaming and Leisure Properties, Inc. 13.15B 2.08%
47.86 -0.81% 22.84% 32.95%
WLKP Westlake Chemical Partners LP 824.23M 2.05%
23.39 -1.60% 116.26% 48.53%
EBF Ennis, Inc. 466.93M 2.04%
17.95 -0.44% 116.63% 58.27%
GLP Global Partners LP 1.74B 1.99%
51.28 -0.79% 47.14% 31.22%
ABBV AbbVie Inc. 345.13B 1.97%
195.10 0.82% 38.23% 57.70%
CTRA Coterra Energy Inc. 18.77B 1.96%
24.56 -3.72% 57.43% 76.29%
CAPL CrossAmerica Partners LP 906.96M 1.95%
23.83 -2.22% 36.52% 30.57%
CCOI Cogent Communications Holdings, Inc. 2.68B 1.94%
54.35 -0.60% 33.97% 61.47%
VZ Verizon Communications Inc. 185.77B 1.94%
44.06 2.58% 24.59% 28.99%
PFE Pfizer Inc. 138.44B 1.89%
24.41 2.61% 39.52% 46.99%
DEA Easterly Government Properties, Inc. 905.63M 1.88%
20.17 0.75% 44.05% 51.53%
TFSL TFS Financial Corporation 3.64B 1.85%
12.96 -1.07% 78.00% 41.88%
USAC USA Compression Partners, LP 2.87B 1.84%
24.40 -2.40% 28.91% 50.80%
UHT Universal Health Realty Income Trust 529.23M 1.81%
38.21 -0.44% 63.46% 56.00%
WEN The Wendy's Company 2.45B 1.76%
12.50 -0.71% 33.28% 64.05%
ALX Alexander's, Inc. 1.05B 1.73%
206.40 0.44% N/A N/A
KHC The Kraft Heinz Company 34.77B 1.73%
29.10 0.80% 30.18% 54.50%
SPH Suburban Propane Partners, L.P. 1.29B 1.72%
19.97 -1.48% 46.01% 56.49%
WU The Western Union Company 3.28B 1.64%
9.91 -1.98% 35.34% 55.08%
SFL SFL Corporation Ltd. 1.20B 1.54%
8.22 -1.08% 78.32% 91.90%
LYB LyondellBasell Industries N.V. 18.71B 1.49%
58.21 -1.05% 29.08% 60.77%
DOW Dow Inc. 21.62B 1.42%
30.59 -0.20% 50.27% 50.40%
CHRD Chord Energy Corporation 5.37B 1.34%
90.23 -3.51% 36.76% 65.82%
CHCT Community Healthcare Trust Incorporated 484.04M 1.32%
17.08 5.04% 50.96% 70.24%
ARLP Alliance Resource Partners, L.P. 3.40B 1.16%
26.45 -2.29% 43.36% 57.42%
DMLP Dorchester Minerals, L.P. 1.36B 0.60%
28.66 -1.44% 125.87% 42.23%
EVRG Evergy, Inc. 15.89B 0.58%
69.10 0.28% 19.42% 24.56%
FRO Frontline Ltd. 3.74B 0.52%
16.81 0.48% 56.64% 49.24%
Total holdings: 49 Recognized Stocks: 48 Others: 1
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