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SELV SEI Enhanced Low Volatility US Large Cap ETF

26.95
-0.2529 (-0.93%)
May 28 2024 - Closed
Delayed by 15 minutes

Period:

Draw Mode:

Volume 5,405
Bid Price
Ask Price
News -
Day High 27.2029

Low
23.73

52 Week Range

High
27.7857

Day Low 26.91
Company Name Etf Ticker Symbol Market Type
SEI Enhanced Low Volatility US Large Cap ETF SELV AMEX Exchange Traded Fund
  Price Change Change Percent Etf Price Last Traded
-0.2529 -0.93% 26.95 16:15:00
Open Price Low Price High Price Close Price Prev Close
27.2029 26.91 27.2029 26.95 27.2029
Trades Volume VWAP Dollar Volume Avg Volume 52 Week Range
18 5,405  26.99  145,878 - 23.73 - 27.7857
Last Trade Time Type Quantity Etf Price Currency
20:00:04 656  26.95 USD

SEI Enhanced Low Volatility US Large Cap ETF Financials

Market Cap Shares in Issue Float Revenue Profit/Loss EPS PE Ratio
 123.97M - - - 13.27
Short Interest Dividends Per Share Dividend Yield Ex-Div Date Insider B/S Insider % Owned
- - - -

more financials information »

News SEI Enhanced Low Volatil...

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SELV Historical

Period Open High Low VWAP Avg. Daily Vol Change %
1 Week27.519827.519826.9127.314,733-0.5698-2.07%
1 Month26.6027.578226.3427.094,4680.351.32%
3 Months26.8527.785726.3427.124,9690.100.37%
6 Months25.34527.785725.16826.3040,3781.616.33%
1 Year24.803927.785723.7326.2621,4312.158.65%
3 Years25.2727.785722.1726.1411,5481.686.65%
5 Years25.2727.785722.1726.1411,5481.686.65%

To seek Long-term capital appreciation with lower volatility relative to the broad U.S. large cap equity market. Under normal circumstances, the Fund will invest at least 80% of its net assets (plus the amount of any borrowings for investment purposes) in equity and equity-related securities (such as convertible bonds, convertible preferred stock, depositary receipts, warrants, and rights) issued by large U.S. companies. The fund invests primarily in U.S. common stocks, while aiming to experience lower volatility compared to the broad U.S. large-cap equity market. SIMC uses a quantitative-based, active stock selection investment process to construct the Funds portfolio, utilizing a combination of factor scoring model, risk model and optimization.

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