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

Index History

Sectors
as of 06-21-2019

Countries

Index Constituents
as of 06-21-2019

Ticker Company Name Country Sector Weight
CNK US Cinemark Holdings Inc United States Communication Services 1.9%
SIX US Six Flags Entertainment Corp United States Consumer Discretionary 1.93%
FLO US Flowers Foods Inc United States Consumer Staples 2.0%
INGR US Ingredion Inc United States Consumer Staples 1.98%
NUS US Nu Skin Enterprises Inc A United States Consumer Staples 1.89%
CVI US Cvr Energy Inc United States Energy 2.1%
RES US Rpc Inc United States Energy 2.02%
MCY US Mercury General Corp United States Financials 1.96%
TECH US Bio-Techne Corp United States Health Care 1.99%
MIC US Macquarie Infrastructure Corp United States Industrials 1.95%
LDOS US Leidos Holdings Inc United States Information Technology 1.97%
SMG US Scotts Co. A United States Materials 1.99%
SON US Sonoco Products Co United States Materials 1.97%
HE US Hawaiian Electric Industries United States Utilities 1.99%
HRC US Hill-Rom Holdings Inc United States Health Care 1.97%
LANC US Lancaster Colony Corp United States Consumer Staples 1.92%
NATI US National Instruments Corp United States Information Technology 1.99%
EHC US Encompass Health Corp United States Health Care 2.04%
STE US Steris Plc United States Health Care 2.03%
CBRL US Cracker Barrel Old Country Store Inc United States Consumer Discretionary 1.96%
PBF US Pbf Energy Inc A United States Energy 2.35%
PACW US Pacwest Bancorp United States Financials 1.99%
HUN US Huntsman Corp United States Materials 2.03%
OLN US Olin Corp United States Materials 1.94%
OGE US Oge Energy Corp United States Utilities 1.97%
ENR US Energizer Holdings Inc United States Consumer Staples 1.81%
BGCP US Bgc Partners Inc A United States Financials 2.04%
WSO US Watsco Inc United States Industrials 1.98%
CY US Cypress Semiconductor Corp United States Information Technology 1.98%
NWE US Northwestern Corp United States Utilities 1.99%
HUBB US Hubbell Inc United States Industrials 2.02%
SJI US South Jersey Industries Inc United States Utilities 1.99%
R US Ryder System Inc United States Industrials 1.99%
MUR US Murphy Oil Corp United States Energy 2.11%
NYCB US New York Community Bancorp Inc United States Financials 1.95%
CLB US Core Laboratories N.V. United States Energy 2.26%
SABR US Sabre Corporation United States Information Technology 2.02%
CWEN US Clearway Energy Inc Cl C United States Utilities 2.07%
IGT US International Game Technology Plc United States Consumer Discretionary 1.96%
BRKR US Bruker Biosciences Corp United States Health Care 2.11%
CC US The Chemours Company United States Materials 2.05%
WSM US Williams-Sonoma Inc United States Consumer Discretionary 1.97%
TFSL US Tfs Financial Corp United States Financials 1.93%
PAG US Penske Auto Group United States Consumer Discretionary 2.03%
TRCO US Tribune Media Co A United States Communication Services 1.97%
JW/A US John Wiley & Sons Inc. A United States Communication Services 2.0%
SBGI US Sinclair Broadcast Group A United States Communication Services 2.06%
TGNA US Tegna Inc United States Communication Services 2.02%
TRTN US Triton International Ltd/Ber United States Industrials 1.93%
AVT US Avnet Inc United States Information Technology 1.95%
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