Main settings
| 10 year return | 0 |
| 3 year return | 41.79 |
| 5 year return | 33.47 |
| Annual return | 0.51 |
| Asset size | Large-Cap |
| Asset type | Equity |
| Average P/BV | 6.84 |
| Average P/E | 21.66 |
| Average P/S | 2.73 |
| Beta | 1.05 |
| Commission | 0.59 |
| Country | USA |
| Currency | usd |
| Div. yield | 1.59 |
| Focus | Total Market |
| Foundation date | 2016-09-27 |
| ISIN code | US89628W3025 |
| ISO country | US |
| Index | ACTIVE - No Index |
| Number of companies | 143 |
| Owner | FCF Funds |
| Region | North America |
| Region | U.S. |
| Strategy | Active |
| Top 10 issuers, % | 20.09 |
| Website | link |
| segment | Equity: U.S. - Total Market |
| Change per day | +0.51% 69.0005 $ |
| Change per week | +0.51% 69.0005 $ |
| Change per month | +0.51% 69.0005 $ |
| Change per 3 month | +0.51% 69.0005 $ |
| Change per half year | +0.51% 69.0005 $ |
| Change per year | +0.51% 69.0005 $ |
| Change per 3 year | +41.79% 48.91 $ |
| Change per 5 year | +33.47% 51.96 $ |
| Change per year to date | +0.51% 69.0005 $ |
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Top companies
| Title | Industry | Share, % | P/BV | P/S | P/E | EV/Ebitda | Dividend yield | |
| #1 |
Apple |
Technology | 6.09448 | 50.48 | 8.94 | 33.23 | 26.98 | 0.44 |
| #2 |
AbbVie |
Healthcare | 2.88582 | 92.87 | 5.55 | 73.03 | 25.13 | 2.98 |
| #3 |
Home Depot |
Consumer Staples | 2.76521 | 57.39 | 2.39 | 25.74 | 18.97 | 2.38 |
| #4 |
Johnson & Johnson |
Healthcare | 2.28022 | 4.83 | 3.88 | 24.53 | 14.43 | 2.89 |
| #5 |
Procter & Gamble Company |
Consumer Staples | 2.1044 | 7.09 | 4.37 | 23.07 | 17.43 | 2.63 |
| #6 |
American Express |
Financials | 1.82431 | 7 | 2.86 | 20.93 | 15.27 | 0.93 |
| #7 |
Accenture plc |
Technology | 1.77776 | 5.7 | 2.55 | 23.15 | 12.26 | 2.09 |
| #8 |
IBM |
Technology | 1.67149 | 7.54 | 3.29 | 34.27 | 20.6 | 2.56 |
| #9 |
Adobe |
Technology | 1.57541 | 16.55 | 5.41 | 18.03 | 28.88 | 0 |
| #10 |
ServiceNow |
Technology | 1.56628 | 23.16 | 20.26 | 156.16 | 99.96 | 0 |
Similar ETF
Other ETFs from the Management Company
| Title | Class | Category | Commission | Annual return |
| Equity | 0.59 | 2.04 | ||
| Equity | 0.69 | 12.17 | ||
| Equity | 0.69 | 20.05 | ||
| Bond | 0.89 | 3.65 |
Description FCF US Quality ETF
TTAC ΡΡΡΠ΅ΠΌΠΈΡΡΡ ΠΏΡΠ΅Π²Π·ΠΎΠΉΡΠΈ Russell 3000 ΠΏΠΎΡΡΠ΅Π΄ΡΡΠ²ΠΎΠΌ ΠΈΠ½Π²Π΅ΡΡΠΈΡΠΈΠΎΠ½Π½ΠΎΠ³ΠΎ ΠΏΡΠΎΡΠ΅ΡΡΠ°, ΠΎΡΠ½ΠΎΠ²Π°Π½Π½ΠΎΠ³ΠΎ Π½Π° ΡΡΠ½Π΄Π°ΠΌΠ΅Π½ΡΠ°Π»ΡΠ½ΡΡ ΠΏΡΠΈΠ½ΡΠΈΠΏΠ°Ρ , ΠΊΠΎΡΠΎΡΡΠΉ Π²ΡΠ±ΠΈΡΠ°Π΅Ρ ΠΎΠΊΠΎΠ»ΠΎ 150 Π°ΠΊΡΠΈΠΉ Π½Π° ΠΎΡΠ½ΠΎΠ²Π΅ ΡΠΈΠ»Ρ ΡΠ²ΠΎΠ±ΠΎΠ΄Π½ΠΎΠ³ΠΎ Π΄Π΅Π½Π΅ΠΆΠ½ΠΎΠ³ΠΎ ΠΏΠΎΡΠΎΠΊΠ°. ΠΠ°ΡΠ΅ΠΌ Π°Π²ΡΠ°ΡΡ ΠΏΠΎΡΡΡΠ΅Π»Ρ Π²Π·Π²Π΅ΡΠΈΠ²Π°ΡΡΡΡ Ρ ΠΏΠΎΠΌΠΎΡΡΡ ΠΌΠΎΠ΄ΠΈΡΠΈΡΠΈΡΠΎΠ²Π°Π½Π½ΠΎΠΉ ΡΡΠ½ΠΎΡΠ½ΠΎΠΉ ΠΊΠ°ΠΏΠΈΡΠ°Π»ΠΈΠ·Π°ΡΠΈΠΈ, ΠΏΡΠ΅ΠΎΠ±ΡΠ°Π·ΠΎΠ²Π°Π½ΠΈΡ ΠΆΡΡΠ½Π°Π»Π°, ΡΡΠΎ ΠΏΠΎΠ·Π²ΠΎΠ»ΡΠ΅Ρ ΡΠ²Π΅Π»ΠΈΡΠΈΡΡ Π΄ΠΎΡΡΡΠΏ ΠΊ ΠΊΠΎΠΌΠΏΠ°Π½ΠΈΡΠΌ Ρ ΡΠ°ΠΌΡΠΌ Π²ΡΡΠΎΠΊΠΈΠΌ ΡΠ΅ΠΉΡΠΈΠ½Π³ΠΎΠΌ ΡΠΎΠ±ΡΡΠ²Π΅Π½Π½ΡΡ ΡΠ²ΠΎΠ±ΠΎΠ΄Π½ΡΡ Π΄Π΅Π½Π΅ΠΆΠ½ΡΡ ΠΏΠΎΡΠΎΠΊΠΎΠ². ΠΠΎΡΠ»Π΅ ΡΡΠΎΠ³ΠΎ ΠΏΠΎΡΡΡΠ΅Π»Ρ ΠΏΠΎΠ»ΡΡΠΈΡ ΡΠ΅ΠΉΡΠΈΠ½Π³ ESG, Π·Π° ΠΈΡΠΊΠ»ΡΡΠ΅Π½ΠΈΠ΅ΠΌ ΠΊΠΎΠΌΠΏΠ°Π½ΠΈΠΉ Ρ Π½ΠΈΠ·ΠΊΠΈΠΌΠΈ ΡΠ΅ΠΉΡΠΈΠ½Π³Π°ΠΌΠΈ ESG. ΠΡΠΎΠΌΠ΅ ΡΠΎΠ³ΠΎ, ΠΈΡΠΊΠ»ΡΡΠ°ΡΡΡΡ ΡΠΈΡΠΌΡ Ρ ΡΠ΅Π·ΠΊΠΈΠΌ ΡΠ²Π΅Π»ΠΈΡΠ΅Π½ΠΈΠ΅ΠΌ ΠΊΠΎΠ»ΠΈΡΠ΅ΡΡΠ²Π° Π°ΠΊΡΠΈΠΉ ΠΈ ΡΠ²Π΅Π»ΠΈΡΠ΅Π½ΠΈΠ΅ΠΌ Π»Π΅Π²Π΅ΡΠΈΠ΄ΠΆΠ°. Π‘ 28 ΡΠ΅Π²ΡΠ°Π»Ρ 2021 Π³ΠΎΠ΄Π° ΠΏΠΎ 29 ΠΌΠ°Ρ 2020 Π³ΠΎΠ΄Π° ΡΠΎΠ½Π΄ ΠΎΡΠ±ΠΈΡΠ°Π΅Ρ ΠΈ Π²Π·Π²Π΅ΡΠΈΠ²Π°Π΅Ρ Π°ΠΊΡΠΈΠΈ, ΠΈΡΠΏΠΎΠ»ΡΠ·ΡΡ: ΠΏΡΠΈΠ±ΡΠ»ΡΠ½ΠΎΡΡΡ ΠΈ ΡΠΎΡΡ ΡΠ²ΠΎΠ±ΠΎΠ΄Π½ΠΎΠ³ΠΎ Π΄Π΅Π½Π΅ΠΆΠ½ΠΎΠ³ΠΎ ΠΏΠΎΡΠΎΠΊΠ°, ΡΠΎΠΊΡΠ°ΡΠ΅Π½ΠΈΠ΅ ΠΊΡΠ΅Π΄ΠΈΡΠ½ΠΎΠ³ΠΎ ΠΏΠ»Π΅ΡΠ° ΠΈ ΡΠΌΠ΅Π½ΡΡΠ΅Π½ΠΈΠ΅ ΠΊΠΎΠ»ΠΈΡΠ΅ΡΡΠ²Π° Π°ΠΊΡΠΈΠΉ Π² ΠΎΠ±ΡΠ°ΡΠ΅Π½ΠΈΠΈ. ΠΠΊΡΠ΅Π½Ρ Π½Π° ΡΠ΅Π½ΡΠ°Π±Π΅Π»ΡΠ½ΠΎΡΡΡ ΠΈ ΡΠΎΡΡ ΡΠ²ΠΎΠ±ΠΎΠ΄Π½ΠΎΠ³ΠΎ Π΄Π΅Π½Π΅ΠΆΠ½ΠΎΠ³ΠΎ ΠΏΠΎΡΠΎΠΊΠ°. ΠΠΎ 29 ΠΌΠ°Ρ 2020 Π³ΠΎΠ΄Π° ΠΌΠ΅ΡΠΎΠ΄ΠΎΠ»ΠΎΠ³ΠΈΡ ΡΠΎΠ½Π΄Π° ΠΏΠΎΠ΄ΡΠ΅ΡΠΊΠΈΠ²Π°Π΅Ρ ΡΠ΅Π½Π΄Π΅Π½ΡΠΈΠΈ ΠΎΠ±ΡΠ°ΡΠ½ΠΎΠ³ΠΎ Π²ΡΠΊΡΠΏΠ° Π°ΠΊΡΠΈΠΉ.
Based on sources: porti.ru









