ISMD

Inspire Small/Mid Cap Impact ETF

Up$26.39
+$0.06
(+0.23%)
As of 4:10:00 PM EDT | 6/19/19  |  Market Closed

ISMD Trading Data

Open

$26.48

Low Price

$26.19

High Price

$26.48

Previous Last Price

$26.33

Bid Size

$23.78 X 100

Ask Size

$0 X 0

ISMD Portfolio Data

AUM

$84,272,500

Shares

3,250

PE Ratio

15.97

Price / Book Ratio

1.7

Expense Ratio

0.61

Net Asset Value

$25.93

Volume

Volume

6,825

Avg. Volume (YDT)

23,226

Dollar Volume

$153,774

Weekly Avg. Volume

7,505

Monthly Avg. Volume

8,621

Quarterly Avg. Volume

13,880

ISMD Fund Description

Inspire Small/Mid Cap Impact ETF is designed to create meaningful impact by investing in some of the most inspiring companies in the United States, while also seeking to provide investors with a low cost, high impact investment that meets the stringent demands of modern investors. All Inspire ETFs meet biblically responsible investing (BRI) standards, which measures a portfolios alignment with biblical values.

ISMD Chart

ISMD Summary

Fund Family

Inspire ETFs

Tracks This Index

Inspire Small/Mid Cap Impact ETF

Inception Date

2017-02-28

Asset Class

Equity

Asset Class Size

Large Cap

ISMD Classification

Region (General)

North America

Region (Specific)

US

Sector

Equity Index

Leveraged Family

ISMD Holdings

Top 10 Holdings

US DOLLARS
1.57%
Sotheby's (BID)
0.28%
Electronics For Imaging Inc (EFII)
0.28%
Lithia Motors Inc (LAD)
0.27%
World Acceptance Corp (WRLD)
0.27%
Medicines Co/The (MDCO)
0.27%
Strategic Education Inc (STRA)
0.26%
WageWorks Inc (WAGE)
0.26%
John Bean Technologies Corp (JBT)
0.26%
Cavco Industries Inc (CVCO)
0.26%

Total ISMD Holdings

Total Holdings: 504

US DOLLARS
1.57%
Sotheby's (BID)
0.28%
Electronics For Imaging Inc (EFII)
0.28%
Lithia Motors Inc (LAD)
0.27%
World Acceptance Corp (WRLD)
0.27%
Medicines Co/The (MDCO)
0.27%
Strategic Education Inc (STRA)
0.26%
WageWorks Inc (WAGE)
0.26%
John Bean Technologies Corp (JBT)
0.26%
Cavco Industries Inc (CVCO)
0.26%
OSI Systems Inc (OSIS)
0.26%
TTEC Holdings Inc (TTEC)
0.26%
Harsco Corp (HSC)
0.26%
Legg Mason Inc (LM)
0.26%
Axon Enterprise Inc (AAXN)
0.26%
KBR Inc (KBR)
0.26%
Repligen Corp (RGEN)
0.26%
Group 1 Automotive Inc (GPI)
0.25%
CorVel Corp (CRVL)
0.25%
Shutterfly Inc (SFLY)
0.25%
Brooks Automation Inc (BRKS)
0.25%
RLI Corp (RLI)
0.25%
Generac Holdings Inc (GNRC)
0.25%
UniFirst Corp/MA (UNF)
0.25%
SeaWorld Entertainment Inc (SEAS)
0.25%
Wingstop Inc (WING)
0.25%
Manhattan Associates Inc (MANH)
0.25%
Universal Forest Products Inc (UFPI)
0.25%
Tempur Sealy International Inc (TPX)
0.25%
Armstrong World Industries Inc (AWI)
0.25%
CoreCivic Inc (CXW)
0.25%
LGI Homes Inc (LGIH)
0.25%
TopBuild Corp (BLD)
0.24%
Shake Shack Inc (SHAK)
0.24%
Viad Corp (VVI)
0.24%
Itron Inc (ITRI)
0.24%
Eagle Materials Inc (EXP)
0.24%
GEO Group Inc/The (GEO)
0.24%
MDC Holdings Inc (MDC)
0.24%
Tetra Tech Inc (TTEK)
0.24%
Helen of Troy Ltd (HELE)
0.24%
ManTech International Corp/VA (MANT)
0.24%
Coca-Cola Consolidated Inc (COKE)
0.24%
SPX FLOW Inc (FLOW)
0.24%
Aerojet Rocketdyne Holdings Inc (AJRD)
0.24%
Builders FirstSource Inc (BLDR)
0.24%
Meritage Homes Corp (MTH)
0.24%
Aaron's Inc (AAN)
0.24%
Mercury General Corp (MCY)
0.24%
Asbury Automotive Group Inc (ABG)
0.24%
Vonage Holdings Corp (VG)
0.24%
8x8 Inc (EGHT)
0.24%
Cohen & Steers Inc (CNS)
0.24%
CoreLogic Inc/United States (CLGX)
0.23%
eHealth Inc (EHTH)
0.23%
World Fuel Services Corp (INT)
0.23%
Installed Building Products Inc (IBP)
0.23%
Ensign Group Inc/The (ENSG)
0.23%
Calavo Growers Inc (CVGW)
0.23%
Taylor Morrison Home Corp (TMHC)
0.23%
Materion Corp (MTRN)
0.23%
Allegiant Travel Co (ALGT)
0.23%
Washington Federal Inc (WAFD)
0.23%
Inovalon Holdings Inc (INOV)
0.23%
Horace Mann Educators Corp (HMN)
0.23%
SkyWest Inc (SKYW)
0.23%
ABM Industries Inc (ABM)
0.23%
Hilltop Holdings Inc (HTH)
0.23%
TriNet Group Inc (TNET)
0.23%
RBC Bearings Inc (ROLL)
0.23%
Dycom Industries Inc (DY)
0.23%
United Community Banks Inc/GA (UCBI)
0.23%
Simpson Manufacturing Co Inc (SSD)
0.23%
FTI Consulting Inc (FCN)
0.23%
KB Home (KBH)
0.23%
Dine Brands Global Inc (DIN)
0.23%
Progress Software Corp (PRGS)
0.23%
Outfront Media Inc (OUT)
0.23%
CSG Systems International Inc (CSGS)
0.23%
NCR Corp (NCR)
0.23%
Cantel Medical Corp (CMD)
0.23%
Saul Centers Inc (BFS)
0.22%
Rexford Industrial Realty Inc (REXR)
0.22%
Watts Water Technologies Inc (WTS)
0.22%
Cambrex Corp (CBM)
0.22%
Oceaneering International Inc (OII)
0.22%
Acadia Healthcare Co Inc (ACHC)
0.22%
Ormat Technologies Inc (ORA)
0.22%
PRA Group Inc (PRAA)
0.22%
AAON Inc (AAON)
0.22%
Oil States International Inc (OIS)
0.22%
Cogent Communications Holdings Inc (CCOI)
0.22%
Ameris Bancorp (ABCB)
0.22%
El Paso Electric Co (EE)
0.22%
Sensient Technologies Corp (SXT)
0.22%
US Ecology Inc (ECOL)
0.22%
Rexnord Corp (RXN)
0.22%
Pacira Pharmaceuticals Inc/DE (PCRX)
0.22%
Callaway Golf Co (ELY)
0.22%
Timken Co/The (TKR)
0.22%
Jack in the Box Inc (JACK)
0.22%
Towne Bank/Portsmouth VA (TOWN)
0.22%
Community Bank System Inc (CBU)
0.22%
Columbia Banking System Inc (COLB)
0.22%
Cabot Corp (CBT)
0.22%
LegacyTexas Financial Group Inc (LTXB)
0.22%
ATLANTIC UNION BANKSHARES CORPORATION (AUB)
0.22%
Home BancShares Inc/AR (HOMB)
0.22%
NextGen Healthcare Inc (NXGN)
0.22%
US Physical Therapy Inc (USPH)
0.22%
Herman Miller Inc (MLHR)
0.22%
Tompkins Financial Corp (TMP)
0.22%
Clearway Energy Inc (CWEN)
0.22%
Monro Inc (MNRO)
0.22%
Texas Capital Bancshares Inc (TCBI)
0.22%
Xenia Hotels & Resorts Inc (XHR)
0.22%
Children's Place Inc/The (PLCE)
0.22%
Uniti Group Inc (UNIT)
0.22%
Mack-Cali Realty Corp (CLI)
0.22%
United Fire Group Inc (UFCS)
0.22%
ESCO Technologies Inc (ESE)
0.22%
Federated Investors Inc (FII)
0.22%
Cubic Corp (CUB)
0.22%
Medifast Inc (MED)
0.21%
Marten Transport Ltd (MRTN)
0.21%
Envestnet Inc (ENV)
0.21%
AMN Healthcare Services Inc (AMN)
0.21%
Mercury Systems Inc (MRCY)
0.21%
Rambus Inc (RMBS)
0.21%
Safety Insurance Group Inc (SAFT)
0.21%
Central Garden & Pet Co (CENT)
0.21%
Valley National Bancorp (VLY)
0.21%
Select Medical Holdings Corp (SEM)
0.21%
Inphi Corp (IPHI)
0.21%
Prestige Consumer Healthcare Inc (PBH)
0.21%
Stifel Financial Corp (SF)
0.21%
McDermott International Inc (MDR)
0.21%
STAG Industrial Inc (STAG)
0.21%
PNM Resources Inc (PNM)
0.21%
Renasant Corp (RNST)
0.21%
MGE Energy Inc (MGEE)
0.21%
Nelnet Inc (NNI)
0.21%
Innospec Inc (IOSP)
0.21%
Revlon Inc (REV)
0.21%
Verint Systems Inc (VRNT)
0.21%
Belden Inc (BDC)
0.21%
AZZ Inc (AZZ)
0.21%
Navistar International Corp (NAV)
0.21%
Great Western Bancorp Inc (GWB)
0.21%
Viavi Solutions Inc (VIAV)
0.21%
Corporate Office Properties Trust (OFC)
0.21%
Walker & Dunlop Inc (WD)
0.21%
Covanta Holding Corp (CVA)
0.21%
Argo Group International Holdings Ltd (ARGO)
0.21%
Hawaiian Holdings Inc (HA)
0.21%
Balchem Corp (BCPC)
0.21%
Fox Factory Holding Corp (FOXF)
0.21%
Pattern Energy Group Inc (PEGI)
0.21%
NBT Bancorp Inc (NBTB)
0.21%
Matson Inc (MATX)
0.21%
ATN International Inc (ATNI)
0.21%
Avanos Medical Inc (AVNS)
0.21%
ProAssurance Corp (PRA)
0.21%
Cooper Tire & Rubber Co (CTB)
0.21%
Hope Bancorp Inc (HOPE)
0.21%
ExlService Holdings Inc (EXLS)
0.21%
Compass Minerals International Inc (CMP)
0.21%
Murphy USA Inc (MUSA)
0.21%
Louisiana-Pacific Corp (LPX)
0.21%
Stepan Co (SCL)
0.21%
AMERISAFE Inc (AMSF)
0.21%
Summit Hotel Properties Inc (INN)
0.21%
Fulton Financial Corp (FULT)
0.21%
Bank of Hawaii Corp (BOH)
0.21%
Summit Materials Inc (SUM)
0.21%
CareTrust REIT Inc (CTRE)
0.21%
Brady Corp (BRC)
0.21%
Otter Tail Corp (OTTR)
0.21%
Acadia Realty Trust (AKR)
0.21%
Worthington Industries Inc (WOR)
0.21%
Artisan Partners Asset Management Inc (APAM)
0.21%
LHC Group Inc (LHCG)
0.21%
Lexington Realty Trust (LXP)
0.21%
Anixter International Inc (AXE)
0.21%
Neogen Corp (NEOG)
0.21%
Tootsie Roll Industries Inc (TR)
0.21%
Gentherm Inc (THRM)
0.21%
Employers Holdings Inc (EIG)
0.21%
Kronos Worldwide Inc (KRO)
0.21%
Sanderson Farms Inc (SAFM)
0.21%
Capitol Federal Financial Inc (CFFN)
0.21%
Blackbaud Inc (BLKB)
0.21%
MasTec Inc (MTZ)
0.21%
Suburban Propane Partners LP (SPH)
0.21%
Cathay General Bancorp (CATY)
0.21%
Fresh Del Monte Produce Inc (FDP)
0.21%
Knowles Corp (KN)
0.2%
Qualys Inc (QLYS)
0.2%
South Jersey Industries Inc (SJI)
0.2%
American Assets Trust Inc (AAT)
0.2%
Albany International Corp (AIN)
0.2%
Halozyme Therapeutics Inc (HALO)
0.2%
American States Water Co (AWR)
0.2%
Allscripts Healthcare Solutions Inc (MDRX)
0.2%
Federal Signal Corp (FSS)
0.2%
Silicon Motion Technology Corp (SIMO)
0.2%
Old National Bancorp/IN (ONB)
0.2%
CVB Financial Corp (CVBF)
0.2%
CryoLife Inc (CRY)
0.2%
PotlatchDeltic Corp (PCH)
0.2%
Cleveland-Cliffs Inc (CLF)
0.2%
Deluxe Corp (DLX)
0.2%
Aircastle Ltd (AYR)
0.2%
Brookline Bancorp Inc (BRKL)
0.2%
Innoviva Inc (INVA)
0.2%
Cornerstone OnDemand Inc (CSOD)
0.2%
QTS Realty Trust Inc (QTS)
0.2%
Kite Realty Group Trust (KRG)
0.2%
Dorman Products Inc (DORM)
0.2%
Omnicell Inc (OMCL)
0.2%
Carpenter Technology Corp (CRS)
0.2%
Northwest Natural Holding Co (NWN)
0.2%
Kennedy-Wilson Holdings Inc (KW)
0.2%
Northwest Bancshares Inc (NWBI)
0.2%
NextEra Energy Partners LP (NEP)
0.2%
Versum Materials Inc (VSM)
0.2%
Hancock Whitney Corp (HWC)
0.2%
Badger Meter Inc (BMI)
0.2%
Advanced Energy Industries Inc (AEIS)
0.2%
Retail Opportunity Investments Corp (ROIC)
0.2%
NGL Energy Partners LP (NGL)
0.2%
Saia Inc (SAIA)
0.2%
Apollo Commercial Real Estate Finance Inc (ARI)
0.2%
Exponent Inc (EXPO)
0.2%
Matthews International Corp (MATW)
0.2%
CNO Financial Group Inc (CNO)
0.2%
TerraForm Power Inc (TERP)
0.2%
Kaman Corp (KAMN)
0.2%
NorthWestern Corp (NWE)
0.2%
Piedmont Office Realty Trust Inc (PDM)
0.2%
Flagstar Bancorp Inc (FBC)
0.2%
Hub Group Inc (HUBG)
0.2%
ServisFirst Bancshares Inc (SFBS)
0.2%
Kosmos Energy Ltd (KOS)
0.2%
First Midwest Bancorp Inc/IL (FMBI)
0.2%
Healthcare Services Group Inc (HCSG)
0.2%
City Holding Co (CHCO)
0.2%
John Wiley & Sons Inc (JW.A)
0.2%
Westamerica Bancorporation (WABC)
0.2%
NuVasive Inc (NUVA)
0.2%
Alexander & Baldwin Inc (ALEX)
0.2%
Papa John's International Inc (PZZA)
0.2%
Barnes Group Inc (B)
0.2%
Chesapeake Lodging Trust (CHSP)
0.2%
Granite Construction Inc (GVA)
0.2%
J&J Snack Foods Corp (JJSF)
0.2%
American Woodmark Corp (AMWD)
0.2%
Southside Bancshares Inc (SBSI)
0.2%
Minerals Technologies Inc (MTX)
0.2%
BancorpSouth Bank (BXS)
0.2%
Magellan Health Inc (MGLN)
0.2%
Chemical Financial Corp (CHFC)
0.2%
RLJ Lodging Trust (RLJ)
0.2%
LTC Properties Inc (LTC)
0.2%
Silgan Holdings Inc (SLGN)
0.2%
International Bancshares Corp (IBOC)
0.2%
Sunoco LP (SUN)
0.2%
National General Holdings Corp (NGHC)
0.2%
American Equity Investment Life Holding Co (AEL)
0.2%
Welbilt Inc (WBT)
0.2%
Getty Realty Corp (GTY)
0.2%
Korn Ferry (KFY)
0.2%
Tennant Co (TNC)
0.2%
Brandywine Realty Trust (BDN)
0.2%
Power Integrations Inc (POWI)
0.2%
Washington Real Estate Investment Trust (WRE)
0.2%
Mueller Water Products Inc (MWA)
0.2%
Trustmark Corp (TRMK)
0.2%
SPS Commerce Inc (SPSC)
0.2%
Actuant Corp (ATU)
0.2%
Alamo Group Inc (ALG)
0.2%
Quaker Chemical Corp (KWR)
0.2%
FBL Financial Group Inc (FFG)
0.2%
GATX Corp (GATX)
0.2%
Crestwood Equity Partners LP (CEQP)
0.2%
Banner Corp (BANR)
0.2%
Proto Labs Inc (PRLB)
0.2%
MicroStrategy Inc (MSTR)
0.2%
Merit Medical Systems Inc (MMSI)
0.2%
Axos Financial Inc (AX)
0.2%
Dana Inc (DAN)
0.2%
Invesco Mortgage Capital Inc (IVR)
0.2%
First Interstate BancSystem Inc (FIBK)
0.2%
Vicor Corp (VICR)
0.2%
Dick's Sporting Goods Inc (DKS)
0.2%
HNI Corp (HNI)
0.2%
S&T Bancorp Inc (STBA)
0.2%
ACI Worldwide Inc (ACIW)
0.2%
Four Corners Property Trust Inc (FCPT)
0.2%
Cheesecake Factory Inc/The (CAKE)
0.2%
Applied Industrial Technologies Inc (AIT)
0.2%
AAR Corp (AIR)
0.19%
Agree Realty Corp (ADC)
0.19%
Oxford Industries Inc (OXM)
0.19%
Univar Inc (UNVR)
0.19%
Insight Enterprises Inc (NSIT)
0.19%
Columbia Property Trust Inc (CXP)
0.19%
PolyOne Corp (POL)
0.19%
Steven Madden Ltd (SHOO)
0.19%
InterDigital Inc (IDCC)
0.19%
Regal Beloit Corp (RBC)
0.19%
Simmons First National Corp (SFNC)
0.19%
Holly Energy Partners LP (HEP)
0.19%
Heartland Express Inc (HTLD)
0.19%
HMS Holdings Corp (HMSY)
0.19%
EnerSys (ENS)
0.19%
TRI Pointe Group Inc (TPH)
0.19%
Waddell & Reed Financial Inc (WDR)
0.19%
Adtalem Global Education Inc (ATGE)
0.19%
Physicians Realty Trust (DOC)
0.19%
Archrock Inc (AROC)
0.19%
Gibraltar Industries Inc (ROCK)
0.19%
Frank's International NV (FI)
0.19%
CLEAR CHANNEL OUTDOOR HOLDINGS- INC. (CCO)
0.19%
Ebix Inc (EBIX)
0.19%
Brookdale Senior Living Inc (BKD)
0.19%
Houlihan Lokey Inc (HLI)
0.19%
Momenta Pharmaceuticals Inc (MNTA)
0.19%
Sykes Enterprises Inc (SYKE)
0.19%
NOW Inc (DNOW)
0.19%
First Financial Bancorp (FFBC)
0.19%
Stewart Information Services Corp (STC)
0.19%
Neenah Inc (NP)
0.19%
Forward Air Corp (FWRD)
0.19%
Cirrus Logic Inc (CRUS)
0.19%
Kulicke & Soffa Industries Inc (KLIC)
0.19%
Comfort Systems USA Inc (FIX)
0.19%
Urban Edge Properties (UE)
0.19%
Raven Industries Inc (RAVN)
0.19%
EnPro Industries Inc (NPO)
0.19%
Thor Industries Inc (THO)
0.19%
Clean Harbors Inc (CLH)
0.19%
WD-40 Co (WDFC)
0.19%
WesBanco Inc (WSBC)
0.19%
La-Z-Boy Inc (LZB)
0.19%
Dril-Quip Inc (DRQ)
0.19%
Fabrinet (FN)
0.19%
Cal-Maine Foods Inc (CALM)
0.19%
HFF Inc (HF)
0.19%
Enanta Pharmaceuticals Inc (ENTA)
0.19%
Box Inc (BOX)
0.19%
Allegheny Technologies Inc (ATI)
0.19%
Emergent BioSolutions Inc (EBS)
0.19%
Blucora Inc (BCOR)
0.19%
Encore Wire Corp (WIRE)
0.19%
Hillenbrand Inc (HI)
0.18%
Kaiser Aluminum Corp (KALU)
0.18%
DiamondRock Hospitality Co (DRH)
0.18%
Provident Financial Services Inc (PFS)
0.18%
Cabot Microelectronics Corp (CCMP)
0.18%
Extended Stay America Inc (STAY)
0.18%
Natus Medical Inc (BABY)
0.18%
Moog Inc (MOG.A)
0.18%
Mueller Industries Inc (MLI)
0.18%
II-VI Inc (IIVI)
0.18%
Ultragenyx Pharmaceutical Inc (RARE)
0.18%
Kennametal Inc (KMT)
0.18%
Darling Ingredients Inc (DAR)
0.18%
Mobile Mini Inc (MINI)
0.18%
Bottomline Technologies DE Inc (EPAY)
0.18%
Integer Holdings Corp (ITGR)
0.18%
Office Properties Income Trust (OPI)
0.18%
Universal Insurance Holdings Inc (UVE)
0.18%
Valmont Industries Inc (VMI)
0.18%
MRC Global Inc (MRC)
0.18%
California Water Service Group (CWT)
0.18%
B&G Foods Inc (BGS)
0.18%
SPX Corp (SPXC)
0.18%
WESCO International Inc (WCC)
0.18%
Aerovironment Inc (AVAV)
0.18%
Commercial Metals Co (CMC)
0.18%
Franklin Electric Co Inc (FELE)
0.18%
Plantronics Inc (PLT)
0.18%
Trinity Industries Inc (TRN)
0.18%
Energizer Holdings Inc (ENR)
0.18%
GCP Applied Technologies Inc (GCP)
0.18%
First BanCorp/Puerto Rico (FBP)
0.18%
Standard Motor Products Inc (SMP)
0.18%
NetScout Systems Inc (NTCT)
0.18%
MaxLinear Inc (MXL)
0.18%
Benchmark Electronics Inc (BHE)
0.18%
Sprouts Farmers Market Inc (SFM)
0.18%
Diodes Inc (DIOD)
0.18%
Trinseo SA (TSE)
0.18%
Werner Enterprises Inc (WERN)
0.18%
Lumentum Holdings Inc (LITE)
0.18%
Terex Corp (TEX)
0.18%
TreeHouse Foods Inc (THS)
0.18%
Phibro Animal Health Corp (PAHC)
0.18%
Coherent Inc (COHR)
0.18%
Luminex Corp (LMNX)
0.18%
HB Fuller Co (FUL)
0.18%
Weis Markets Inc (WMK)
0.18%
MEDNAX Inc (MD)
0.17%
Spark Therapeutics Inc (ONCE)
0.17%
Hain Celestial Group Inc/The (HAIN)
0.17%
Inter Parfums Inc (IPAR)
0.17%
Owens-Illinois Inc (OI)
0.17%
Iridium Communications Inc (IRDM)
0.17%
Ligand Pharmaceuticals Inc (LGND)
0.17%
Plexus Corp (PLXS)
0.17%
Designer Brands Inc (DBI)
0.17%
PriceSmart Inc (PSMT)
0.17%
LiveRamp Holdings Inc (RAMP)
0.17%
FireEye Inc (FEYE)
0.17%
Shutterstock Inc (SSTK)
0.17%
Synaptics Inc (SYNA)
0.17%
Viper Energy Partners LP (VNOM)
0.17%
Spectrum Pharmaceuticals Inc (SPPI)
0.17%
Chart Industries Inc (GTLS)
0.17%
Portola Pharmaceuticals Inc (PTLA)
0.17%
Taubman Centers Inc (TCO)
0.17%
RH (RH)
0.17%
Big Lots Inc (BIG)
0.17%
American Axle & Manufacturing Holdings Inc (AXL)
0.17%
Varex Imaging Corp (VREX)
0.17%
Virtusa Corp (VRTU)
0.17%
Alliance Resource Partners LP (ARLP)
0.17%
Andersons Inc/The (ANDE)
0.17%
Xperi Corp (XPER)
0.17%
Greif Inc (GEF)
0.17%
Callon Petroleum Co (CPE)
0.16%
Supernus Pharmaceuticals Inc (SUPN)
0.16%
Party City Holdco Inc (PRTY)
0.16%
Sleep Number Corp (SNBR)
0.16%
Green Dot Corp (GDOT)
0.16%
Caleres Inc (CAL)
0.16%
ePlus Inc (PLUS)
0.16%
EnLink Midstream LLC (ENLC)
0.16%
Sally Beauty Holdings Inc (SBH)
0.16%
TTM Technologies Inc (TTMI)
0.16%
Patterson-UTI Energy Inc (PTEN)
0.16%
Cooper-Standard Holdings Inc (CPS)
0.16%
SemGroup Corp (SEMG)
0.16%
Cardtronics PLC (CATM)
0.16%
Semtech Corp (SMTC)
0.16%
Greenbrier Cos Inc/The (GBX)
0.16%
Tanger Factory Outlet Centers Inc (SKT)
0.16%
Oasis Petroleum Inc (OAS)
0.16%
Vishay Intertechnology Inc (VSH)
0.16%
Enerplus Corp (ERF)
0.16%
Genworth Financial Inc (GNW)
0.16%
Tupperware Brands Corp (TUP)
0.16%
QEP Resources Inc (QEP)
0.16%
BioTelemetry Inc (BEAT)
0.16%
Wolverine World Wide Inc (WWW)
0.16%
Amkor Technology Inc (AMKR)
0.16%
Ironwood Pharmaceuticals Inc (IRWD)
0.16%
Dillard's Inc (DDS)
0.15%
Michaels Cos Inc/The (MIK)
0.15%
Inogen Inc (INGN)
0.15%
Fitbit Inc (FIT)
0.15%
Visteon Corp (VC)
0.15%
PDC Energy Inc (PDCE)
0.15%
Intercept Pharmaceuticals Inc (ICPT)
0.15%
TiVo Corp (TIVO)
0.15%
Carrizo Oil & Gas Inc (CRZO)
0.15%
Genomic Health Inc (GHDX)
0.15%
NETGEAR Inc (NTGR)
0.15%
Myriad Genetics Inc (MYGN)
0.15%
3D Systems Corp (DDD)
0.15%
iRobot Corp (IRBT)
0.14%
Southwestern Energy Co (SWN)
0.14%
CommVault Systems Inc (CVLT)
0.14%
Theravance Biopharma Inc (TBPH)
0.14%
Diamond Offshore Drilling Inc (DO)
0.14%
Edgewell Personal Care Co (EPC)
0.14%
Tenet Healthcare Corp (THC)
0.14%
Crocs Inc (CROX)
0.14%
Senior Housing Properties Trust (SNH)
0.14%
Aerie Pharmaceuticals Inc (AERI)
0.14%
EW Scripps Co/The (SSP)
0.14%
Mr Cooper Group Inc (COOP)
0.14%
Hecla Mining Co (HL)
0.14%
G-III Apparel Group Ltd (GIII)
0.13%
SM Energy Co (SM)
0.13%
Pitney Bowes Inc (PBI)
0.13%
Gulfport Energy Corp (GPOR)
0.13%
US Silica Holdings Inc (SLCA)
0.13%
Whiting Petroleum Corp (WLL)
0.12%
Evolent Health Inc (EVH)
0.12%
Nabors Industries Ltd (NBR)
0.11%
Clovis Oncology Inc (CLVS)
0.11%
2U Inc (TWOU)
0.11%
Stamps.com Inc (STMP)
0.1%
Tenneco Inc (TEN)
0.09%
ENSCO ROWAN PLC (ESV)
0.08%
Puma Biotechnology Inc (PBYI)
0.07%
KLA-Tencor Corp (KLAC)
0.05%
Cyclerion Therapeutics Inc (CYCN)
0.01%
Nu Skin Enterprises Inc (NUS)
0.01%
Glacier Bancorp Inc (GBCI)
0.01%
Inspire Small/Mid Cap Impact ETF (ISMD)
0%
Perficient Inc (PRFT)
0%

ISMD Technicals

Alpha

0

Beta

1.24

Leverage

Long

Standard Deviation

1.86

ISMD Dividends

Dividend Date

2019-03-28

Latest Dividend

0.047

Annual Dividend

0.78

Annual Dividend Rate

0.78

Annual Dividend Yield

3

ISMD Performance

YTD Return

15.54%

1 Year Return

-9.72%

3 Year Return

0%

5 Year Return

0%

10 Year Return

5.72%

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