Stock Taper
EXCHANGE TRADED FUND

BZDYF

BMO U.S. Dividend ETF USD
$43.03 ▲ 0.00%
+$0.00 TODAY

FUND FACTS

Manager BMO
Assets $46.28M
Expense ratio 0.33%
Inception Mar 19, 2013
Asset class Equity
Holdings 93
Volume 500
Avg volume 1.52K

ABOUT THIS FUND

This fund aims to generate current income and foster long-term capital appreciation through a dividend-centric approach within the U.S. equity market. It endeavors to pinpoint high-yielding dividend stocks, meticulously scrutinizing both the sustainability of their payouts and their historical dividend growth. A unique, systematic methodology is applied to U.S. large-, mid-, and small-capitalization companies that pay dividends. Securities must first meet two criteria: a positive dividend growth rate over the preceding three years and evidence of sustainable dividend payouts. Those that pass are then ranked by their dividend yield, with the top 100 companies forming the fund's portfolio. Portfolio constituents are weighted based on their dividend yield, subject to a 25% cap per sector and a 10% cap per individual security. The portfolio's composition is annually reviewed and adjusted, with rebalancing occurring in June and reconstitution in December.

PRICE

$43.03 ▲ UP 48.35% (+$73.38)
—

No price history available for BZDYF over this range.

HOLDINGS

TOP 20 OF 93 · 51.74% OF THE FUND
RANK STOCK WEIGHT SHARES VALUE
01 DELL Dell Technologies Inc. 5.13% 61.61K $50.26M
02 AAPL Apple Inc. 4.79% 99.06K $46.97M
03 CSCO Cisco Systems, Inc. 3.84% 224.86K $37.69M
04 ABBV AbbVie Inc. 3.70% 95.77K $36.3M
05 NVDA NVIDIA Corporation 3.21% 92.55K $31.47M
06 PM Philip Morris International Inc. 2.91% 105.58K $28.57M
07 AVGO Broadcom Inc. 2.90% 53.19K $28.41M
08 QCOM QUALCOMM Incorporated 2.68% 102.33K $26.33M
09 CVX Chevron Corporation 2.41% 80.13K $23.64M
10 MSFT Microsoft Corporation 2.41% 31.41K $23.63M
12 GILD Gilead Sciences, Inc. 2.08% 99.36K $20.37M
13 T AT&T Inc. 1.90% 535.27K $18.58M
14 JPM JPMorgan Chase & Co. 1.90% 39.5K $18.6M
15 VZ Verizon Communications Inc. 1.78% 266.63K $17.42M
16 BAC Bank of America Corporation 1.66% 212.29K $16.32M
17 JNJ Johnson & Johnson 1.65% 44.61K $16.15M
18 MRK Merck & Co., Inc. 1.62% 78.84K $15.9M
19 ADI Analog Devices, Inc. 1.54% 25.19K $15.06M
20 HAS Hasbro, Inc. 1.51% 114.31K $14.79M

SECTOR HOLDINGS

TECHNOLOGY IS 1.00% OF THE FUND

BY REGION

UNITED STATES IS 98.08% OF THE FUND
United States 98.08%
Netherlands 1.21%
United Kingdom 0.35%
— Other 0.21%
Ireland 0.15%