39.29
0.23%
+0.09
Day Hagan/Ned Davis Research Smart Sector ETF stock is currently priced at $39.29, with a 24-hour trading volume of 26,752.
It has seen a +0.23% increased in the last 24 hours and a +3.18% rose in the past month.
The chart indicates a potential bullish trend, as the stock is above the $39.25 pivot point. If it approaches the $39.35 resistance level, significant changes may occur.
Previous Close:
$39.20
Open:
$39.32
24h Volume:
26,752
Market Cap:
$N/A
Revenue:
-
Net Income/Loss:
-
P/E Ratio:
-
EPS:
-
Net Cash Flow:
-
1W Performance:
+1.47%
1M Performance:
+3.18%
6M Performance:
+10.40%
1Y Performance:
+12.48%
Day Hagan/Ned Davis Research Smart Sector ETF Stock (SSUS) Company Profile
Name
Day Hagan/Ned Davis Research Smart Sector ETF
Sector
Industry
Phone
(855) 477-3837
Address
-
Day Hagan/Ned Davis Research Smart Sector ETF Stock (SSUS) Latest News
Day Hagan/Ned Davis Research Smart Sector ETF (NYSEARCA:SSUS) Reaches New 12-Month High at $38.86 - Defense World
Defense World
Day Hagan/Ned Davis Research Smart Sector ETF (NYSEARCA:SSUS) Reaches New 12-Month High at $38.86 - Defense World
Defense World
SunPower (NASDAQ:SPWR) Sees Unusually-High Trading Volume - Defense World
Defense World
Trading (SSXU) With Integrated Risk Controls - Stock Traders Daily
Stock Traders Daily
(SSUS) On The My Stocks Page - Stock Traders Daily
Stock Traders Daily
(SSFI) Technical Data - Stock Traders Daily
Stock Traders Daily
Day Hagan/Ned Davis Research Smart Sector ETF Stock (SSUS) Financials Data
There is no financial data for Day Hagan/Ned Davis Research Smart Sector ETF (SSUS). Check out other stocks for more information.
About Day Hagan/Ned Davis Research Smart Sector ETF
The fund is considered a "fund of funds" that, under normal market conditions, seeks to achieve its investment objective by principally investing in unaffiliated equity exchange traded funds ("ETFs") that track the performance of the individual sectors ("Sectors") of the S&P 500 Index. The Advisor will attempt to enhance returns relative to the index by overweighting and underweighting its exposure to the Sectors relative to the index and may reduce its overall exposure to ETFs as determined by its risk management model. It is non-diversified.
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