HUSV

First Trust Horizon Managed Volatility Domestic ETF

$27.42
$0.00
(0%)
As of 6:40:00 PM EDT | 10/21/19  |  Market Closed

HUSV Trading Data

Open

$27.47

Low Price

$27.38

High Price

$27.47

Previous Last Price

$27.42

Bid Size

$24.65 X 100

Ask Size

$30.15 X 100

HUSV Portfolio Data

AUM

$253,080,000

Shares

9,250

PE Ratio

23.35

Price / Book Ratio

3.11

Expense Ratio

0.7

Net Asset Value

$27.36

Volume

Volume

22,800

Avg. Volume (YDT)

40,027

Dollar Volume

$634,831

Weekly Avg. Volume

38,480

Monthly Avg. Volume

58,090

Quarterly Avg. Volume

45,315

HUSV Fund Description

The First Trust Horizon Managed Volatility Domestic ETF is an actively managed exchange-traded fund. The Fund's investment objective is to provide capital appreciation. Under normal market conditions, the Fund will seek to achieve its investment objective by investing at least 80% of its net assets (including investment borrowings) in common stocks of domestic companies listed and traded on U.S. national securities exchanges that Horizon Investments, LLC believes exhibit low future expected volatility.

HUSV Chart

HUSV Summary

Fund Family

First Trust Portfolios

Tracks This Index

First Trust Horizon Managed Volatility Domestic ETF

Inception Date

2016-08-24

Asset Class

Equity

Asset Class Size

Large Cap

HUSV Classification

Region (General)

North America

Region (Specific)

US

Sector

Equity Index

Leveraged Family

HUSV Holdings

Top 10 Holdings

Citrix Systems Inc. (CTXS)
1.75%
PepsiCo Inc. (PEP)
1.44%
Waste Management Inc. (WM)
1.44%
AvalonBay Communities Inc. (AVB)
1.4%
The Western Union Company (WU)
1.35%
Mid-America Apartment Communities Inc. (MAA)
1.34%
Yum! Brands Inc. (YUM)
1.32%
Johnson & Johnson (JNJ)
1.3%
Arthur J. Gallagher & Co. (AJG)
1.29%
UDR Inc. (UDR)
1.29%

Total HUSV Holdings

Total Holdings: 102

Citrix Systems Inc. (CTXS)
1.75%
PepsiCo Inc. (PEP)
1.44%
Waste Management Inc. (WM)
1.44%
AvalonBay Communities Inc. (AVB)
1.4%
The Western Union Company (WU)
1.35%
Mid-America Apartment Communities Inc. (MAA)
1.34%
Yum! Brands Inc. (YUM)
1.32%
Johnson & Johnson (JNJ)
1.3%
Arthur J. Gallagher & Co. (AJG)
1.29%
UDR Inc. (UDR)
1.29%
The Coca-Cola Company (KO)
1.26%
Verizon Communications Inc. (VZ)
1.25%
Charter Communications Inc. (CHTR)
1.23%
Automatic Data Processing Inc. (ADP)
1.21%
Republic Services Inc. (RSG)
1.21%
The Hershey Company (HSY)
1.21%
Cincinnati Financial Corporation (CINF)
1.2%
Allegion Public Limited Company (ALLE)
1.19%
AT&T Inc. (T)
1.19%
The Procter & Gamble Company (PG)
1.19%
Public Storage (PSA)
1.15%
Broadridge Financial Solutions Inc. (BR)
1.14%
Expedia Group Inc. (EXPE)
1.14%
Merck & Co. Inc. (MRK)
1.14%
Dover Corporation (DOV)
1.13%
Kinder Morgan Inc. (KMI)
1.12%
Paychex Inc. (PAYX)
1.12%
Intercontinental Exchange Inc. (ICE)
1.11%
PPG Industries Inc. (PPG)
1.11%
Fidelity National Information Services Inc. (FIS)
1.1%
Garmin Ltd. (GRMN)
1.09%
Johnson Controls International Plc (JCI)
1.09%
Equity Residential (EQR)
1.08%
Jack Henry & Associates Inc. (JKHY)
1.08%
McDonald s Corporation (MCD)
1.07%
Omnicom Group Inc. (OMC)
1.07%
U.S. Bancorp (USB)
1.06%
Mondelez International Inc. (MDLZ)
1.05%
Chevron Corporation (CVX)
1.04%
Ecolab Inc. (ECL)
1.04%
Linde Plc (LIN)
1.04%
Zoetis Inc. (ZTS)
1.04%
Chubb Limited (CB)
1.03%
CME Group Inc. (CME)
1.03%
Ingersoll-Rand Plc (IR)
1.03%
Stryker Corporation (SYK)
1.03%
The Hartford Financial Services Group Inc. (HIG)
1.02%
IHS Markit Ltd. (INFO)
1.01%
Marsh & McLennan Companies Inc. (MMC)
1.01%
Oracle Corporation (ORCL)
1.01%
Roper Technologies Inc. (ROP)
1.01%
American Tower Corporation (AMT)
1%
Hologic Inc. (HOLX)
1%
Verisk Analytics Inc. (Class A) (VRSK)
1%
Abbott Laboratories (ABT)
0.99%
Global Life Inc. (GL)
0.98%
Aflac Incorporated (AFL)
0.97%
General Dynamics Corporation (GD)
0.97%
The Travelers Companies Inc. (TRV)
0.97%
IDEX Corporation (IEX)
0.96%
Medtronic Plc (MDT)
0.96%
Accenture Plc (ACN)
0.94%
Genuine Parts Company (GPC)
0.94%
Baxter International Inc. (BAX)
0.93%
Honeywell International Inc. (HON)
0.93%
Starbucks Corporation (SBUX)
0.93%
Dollar General Corporation (DG)
0.91%
Berkshire Hathaway Inc. (Class B) (BRK.B)
0.9%
The Home Depot Inc. (HD)
0.9%
Loews Corporation (L)
0.89%
International Business Machines Corporation (IBM)
0.86%
Air Products and Chemicals Inc. (APD)
0.85%
CMS Energy Corporation (CMS)
0.83%
Alliant Energy Corporation (LNT)
0.82%
O Reilly Automotive Inc. (ORLY)
0.82%
DTE Energy Company (DTE)
0.81%
Xcel Energy Inc. (XEL)
0.81%
Consolidated Edison Inc. (ED)
0.8%
Eversource Energy (ES)
0.8%
Lockheed Martin Corporation (LMT)
0.8%
Quest Diagnostics Incorporated (DGX)
0.8%
Danaher Corporation (DHR)
0.77%
FirstEnergy Corp. (FE)
0.77%
AutoZone Inc. (AZO)
0.76%
Entergy Corporation (ETR)
0.75%
Evergy Inc. (EVRG)
0.74%
Exelon Corporation (EXC)
0.74%
Exxon Mobil Corporation (XOM)
0.74%
Pfizer Inc. (PFE)
0.74%
Atmos Energy Corporation (ATO)
0.73%
Duke Energy Corporation (DUK)
0.73%
Ameren Corporation (AEE)
0.71%
Ball Corporation (BLL)
0.71%
NextEra Energy Inc. (NEE)
0.71%
Sempra Energy (SRE)
0.67%
American Electric Power Company Inc. (AEP)
0.66%
American Water Works Company Inc. (AWK)
0.66%
Pinnacle West Capital Corporation (PNW)
0.65%
CenterPoint Energy Inc. (CNP)
0.63%
WEC Energy Group Inc. (WEC)
0.63%
US Dollar ($USD)
0.18%
First Trust Hrzn MgdVolatil Domestic ETF (HUSV)
0%

HUSV Technicals

Alpha

0

Beta

0.66

Leverage

Long

Standard Deviation

1.52

HUSV Dividends

Dividend Date

2019-09-25

Latest Dividend

0.127

Annual Dividend

0.4

Annual Dividend Rate

0.4

Annual Dividend Yield

1.46

HUSV Performance

YTD Return

23.4%

1 Year Return

17.94%

3 Year Return

41.49%

5 Year Return

0%

10 Year Return

38%

HUSV Related Articles

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