ProShares S&P Kensho Cleantech ETF

Profitability for 1 year: 123.89%
Commission: 0.58%
Category: Alternative Energy Equities

36.81 $

-0.16 $ -0.42%
15.11 $
40.37 $

Min/max per year

Main settings

10 year return 0
3 year return 1406.75
5 year return 0
Annual return 124.61
Asset type Equity
Average P/BV 1.25
Average P/E 20.18
Average P/S 0.96
Commission 0.58
Country USA
Currency usd
Div. yield 0.42
Foundation date 2021-09-29
ISIN code US74347G5154
ISO country US
Index S&P Kensho Cleantech Index - Benchmark TR Gross
Number of companies 30
Owner ProShares
Region North America
Website link
Change per day -0.42% 36.9663 $
Change per week -1.89% 37.52 $
Change per month +1.31% 36.334 $
Change per 3 month -5.76% 39.06 $
Change per half year +39.57% 26.374 $
Change per year +123.89% 16.441 $
Change per year to date -0.35% 36.939 $

Pay for your subscription

More functionality and data for company and portfolio analysis is available by subscription

Similar ETF

Other ETFs from the Management Company

Title Class Category Commission Annual return
Equity 0.88 22.44
Equity 0.35 7.97
Equity 0.95 -6.47
Equity 0.92 105.34
Currency 0.95 -36.6
Equity 0.4 10.08
Equity 0.88 -23.54
Equity 0.4 7.94
Equity 0.95 19.8
Equity 0.95 118.38
Equity 0.9 76.78
Commodity 2.11 -62.01
Equity 0.9 192.79
Commodity 0.95 -12.69
Equity 0.95 -28.6
Commodity 0.95 331.18
Equity 0.95 124.27
Equity 0.45 33.77
Equity 0.95 -24.2
Bond 0.9 -5.59
Equity 0.95 -49.36
Volatility 0.95 56.48
Bond 0.3 2.76
Equity 0.45 31.77
Equity 0.95 -49.44
Volatility 0.95 1.02
Commodity 0.95 -60.06
Equity 0.95 78.41
Commodity 0.95 0.26
Equity 0.95 -28.15

Description ProShares S&P Kensho Cleantech ETF

The fund invests in financial instruments that ProShare Advisors believes, in combination, should track the performance of the index. The index selects companies focused on building the technologies or products that enable the generation of clean energy, such as solar, wind, geothermal, hydrogen, and hydroelectric. The fund will invest in all of the component securities of the index in approximately the same proportion as the index. It is non-diversified.