S-Network Mid-Cap Sector Dividend Dogs Index (MDOGX)

Index History

Sectors
as of 09-20-2019

Countries

Index Constituents
as of 09-20-2019

Ticker Company Name Country Sector Weight
CNK US Cinemark Holdings Inc United States Communication Services 1.9475204
SIX US Six Flags Entertainment Corp United States Consumer Discretionary 1.9007047999999998
FLO US Flowers Foods Inc United States Consumer Staples 2.0703836
INGR US Ingredion Inc United States Consumer Staples 1.9842391000000001
NUS US Nu Skin Enterprises Inc A United States Consumer Staples 1.9581048
CVI US Cvr Energy Inc United States Energy 2.2214086
MCY US Mercury General Corp United States Financials 2.0413601999999997
TECH US Bio-Techne Corp United States Health Care 2.0162459
MIC US Macquarie Infrastructure Corp United States Industrials 2.0714353
LDOS US Leidos Holdings Inc United States Information Technology 2.0334898
SMG US Scotts Miracle-Gro Compnay United States Materials 1.9871674999999998
SON US Sonoco Products Co United States Materials 1.9764718000000001
HE US Hawaiian Electric Industries United States Utilities 2.0471348000000003
HRC US Hill-Rom Holdings Inc United States Health Care 2.0237845
LANC US Lancaster Colony Corp United States Consumer Staples 1.9836805999999998
NATI US National Instruments Corp United States Information Technology 1.9551464
EHC US Encompass Health Corp United States Health Care 2.0360541
STE US Steris Plc United States Health Care 2.0571038
CBRL US Cracker Barrel Old Country Store Inc United States Consumer Discretionary 2.0439938
PBF US Pbf Energy Inc A United States Energy 1.9417232999999998
PACW US Pacwest Bancorp United States Financials 1.9458236
HUN US Huntsman Corp United States Materials 1.9378948999999999
OLN US Olin Corp United States Materials 2.000006
OGE US Oge Energy Corp United States Utilities 2.0679317
ENR US Energizer Holdings Inc United States Consumer Staples 1.869788
BGCP US Bgc Partners Inc A United States Financials 1.9643325999999999
WSO US Watsco Inc United States Industrials 1.9569819
CY US Cypress Semiconductor Corp United States Information Technology 2.0128159
NWE US Northwestern Corp United States Utilities 2.0643222999999997
HUBB US Hubbell Inc United States Industrials 1.9235405
SJI US South Jersey Industries Inc United States Utilities 1.9943181
R US Ryder System Inc United States Industrials 1.9456667
MUR US Murphy Oil Corp United States Energy 2.2648391
NYCB US New York Community Bancorp Inc United States Financials 1.9586980999999999
CLB US Core Laboratories N.V. United States Energy 2.1037838
SABR US Sabre Corporation United States Information Technology 1.9862385
CWEN US Clearway Energy Inc Cl C United States Utilities 2.0059185
IGT US International Game Technology Plc United States Consumer Discretionary 1.9599715
BRKR US Bruker Biosciences Corp United States Health Care 2.0265969000000004
CC US The Chemours Company United States Materials 2.0016948
WSM US Williams-Sonoma Inc United States Consumer Discretionary 1.9358488
TFSL US Tfs Financial Corp United States Financials 2.0103392
PAG US Penske Auto Group United States Consumer Discretionary 1.9304345
JW/A US John Wiley & Sons Inc. A United States Communication Services 1.9748307
SBGI US Sinclair Broadcast Group A United States Communication Services 2.007254
TGNA US Tegna Inc United States Communication Services 1.8960751000000002
TRTN US Triton International Ltd/Ber United States Industrials 1.9711401
AVT US Avnet Inc United States Information Technology 1.9586025
ETRN US Equitrans Midstream Corp United States Energy 2.0592191
CCOI US Cogent Communications Holdings Inc United States Communication Services 1.9679394
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