SOVF ETF Analysis
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Solo con fines informativos. No es asesoramiento financiero.
SOVF ETF has a last stored price of $30.38, as of the Oct 5, 2026 trading session. Holdings and weights below are as of Mar 15, 2026.
In the stored portfolio snapshot, the largest listed holding is Vistra Corp (VST) at 4.19%.
SOVF ETF — Price, Holdings & Analysis
Descripción general del ETF
Métricas de riesgo
- Beta: 0.00
¿Qué contiene SOVF?
| Participación | Peso |
|---|---|
| Vistra Corp (VST) | 4.19% |
| Molina Healthcare Inc (MOH) | 3.95% |
| Fiserv Inc (FISV) | 3.78% |
| Alkami Technology Inc (ALKT) | 3.53% |
| Paycom Software Inc (PAYC) | 3.51% |
| Grand Canyon Education Inc (LOPE) | 3.44% |
| Euronet Worldwide Inc (EEFT) | 2.95% |
| SPS Commerce Inc (SPSC) | 2.61% |
| United Parcel Service Inc Class B (UPS) | 2.59% |
| American Financial Group Inc (AFG) | 2.50% |
Estos datos del fondo tienen más de 45 días; verifique las participaciones actuales con el emisor.
Rentabilidad por dividendo
Preguntas y respuestas
What is SOVF and what does it track?
Unlike passive ETFs that track a specific index, SOVF's portfolio is constructed based on the fund manager's high-conviction investment ideas. The ETF's holdings include companies such as Vistra Corp, Molina Healthcare Inc, and Fiserv Inc.
What are the top holdings in SOVF?
SOVF's top holdings include Vistra Corp (4.19%), Molina Healthcare Inc (3.95%), and Fiserv Inc (3.78%). Other significant holdings are Alkami Technology Inc (3.53%) and Paycom Software Inc (3.51%).
These top holdings represent a significant portion of the fund's total assets, highlighting the concentrated nature of SOVF's investment strategy. The fund's performance is therefore heavily influenced by the performance of these key companies. Past performance does not guarantee future results.
Is SOVF a good long-term investment?
SOVF's suitability as a long-term investment depends on an investor's individual risk tolerance and investment objectives. The fund's concentrated portfolio and active management strategy offer the potential for outperformance, but also expose investors to higher levels of risk.
With a beta of 0.00, SOVF has demonstrated no correlation to the broader market.
How does SOVF compare to similar ETFs?
Without data on SOVF's expense ratio or AUM, a direct comparison to similar ETFs is challenging. However, SOVF's defining characteristic is its highly, which differentiates it from most ETFs that hold a much larger number of stocks.
This concentrated approach can lead to higher volatility and potentially greater returns compared to more diversified ETFs.
Does SOVF pay dividends?
The dividend yield for SOVF is 0.00%. This indicates that the fund does not currently distribute any dividends to its shareholders. Therefore, SOVF is not suitable for investors seeking regular income from their investments.
Investors interested in dividend-paying ETFs should consider other options with a higher dividend yield. Past performance does not guarantee future results.
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