S-Network Durable Dividend Indexes

Index History

Sectors
as of 03-20-2020

Countries

Index Constituents
as of 03-20-2020

Ticker Company Name Country Sector Weight
AEO US American Eagle Outfitters United States Consumer Discretionary 2.060344
TGNA US Tegna Inc United States Communication Services 1.7972579
CNK US Cinemark Holdings Inc United States Communication Services 1.8496879000000002
FLO US Flowers Foods Inc United States Consumer Staples 2.2535276
PACW US Pacwest Bancorp United States Financials 1.7021544
MCY US Mercury General Corp United States Financials 2.0952802999999998
TECH US Bio-Techne Corp United States Health Care 2.2171092
HUBB US Hubbell Inc United States Industrials 1.9300977000000001
NATI US National Instruments Corp United States Information Technology 1.8860504
UFS US Domtar Corp United States Materials 1.8593812
WST US West Pharmaceutical Services Inc United States Health Care 2.1290171
SIX US Six Flags Entertainment Corp United States Consumer Discretionary 1.6614531
MSM US Msc Industrial Direct A United States Industrials 2.1468285
BRKR US Bruker Biosciences Corp United States Health Care 2.1775716000000003
OLN US Olin Corp United States Materials 2.6980999
R US Ryder System Inc United States Industrials 2.0340947000000003
TDS US Telephone & Data Systems Inc United States Communication Services 2.2877424
MPWR US Monolithic Power Systems United States Information Technology 1.887615
TKR US Timken Co United States Industrials 1.8304388
VIRT US Virtu Financial Inc. A United States Financials 2.3353731
VLY US Valley National Bancorp (Nj) United States Financials 2.0783617
CBRL US Cracker Barrel Old Country Store Inc United States Consumer Discretionary 1.578984
ORI US Old Republic Intl Corp United States Financials 1.7734678
HRC US Hill-Rom Holdings Inc United States Health Care 2.1528815999999997
BAH US Booz Allen Hamilton Holding Corp A United States Information Technology 1.9713654
CWEN US Clearway Energy Inc Cl C United States Utilities 2.3322347
SAIC US Science Applications International Corp United States Information Technology 1.8103637999999997
IGT US International Game Technology Plc United States Consumer Discretionary 1.6863492
KMT US Kennametal Inc United States Industrials 1.9016182
LFUS US Littelfuse Inc United States Information Technology 2.0802014
PII US Polaris Inc United States Consumer Discretionary 1.6849402999999998
TWO US Two Harbors Investment Corporation United States Financials 1.3266966999999998
EAF US GRAFTECH INTERNATIONAL LTD United States Industrials 2.5567705
MUR US Murphy Oil Corp United States Energy 1.7261863999999998
CHE US Chemed Corp United States Health Care 1.9896117000000002
LM US Legg Mason Inc United States Financials 2.2639385
CY US Cypress Semiconductor Corp United States Information Technology 2.27792
STLD US Steel Dynamics Inc United States Materials 2.0496846
NUS US Nu Skin Enterprises Inc A United States Consumer Staples 2.4065352
MFA US Mfa Financial Inc. United States Financials 1.4120936
ENSG US The Ensign Group United States Health Care 2.5243041
CCMP US Cabot Microelectronics Corp United States Information Technology 1.7513496
KBR US Kbr Inc United States Information Technology 1.875143
CVI US Cvr Energy Inc United States Energy 2.299674
G US Genpact Ltd United States Information Technology 1.8127826999999999
SC US Santander Consumer Usa Holdings Inc United States Financials 1.3802764
TERP US Terraform Power Inc A United States Utilities 2.2407014
FHB US First Hawaiian Inc United States Financials 2.1632531
SWCH US SWITCH INC - A United States Information Technology 2.2687261
NVT US nVent Electric PLC United States Industrials 1.7844596000000001