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 1.0429309
TGNA US Tegna Inc United States Communication Services 0.9097586
TGT US Target Corp United States Consumer Discretionary 1.1620292
LEG US Leggett & Platt United States Consumer Discretionary 0.8857086000000001
CNK US Cinemark Holdings Inc United States Communication Services 0.9362983
MO US Altria Group Inc United States Consumer Staples 1.0310671
PG US Procter & Gamble United States Consumer Staples 1.082234
CVI US Cvr Energy Inc United States Energy 1.1640779
HP US Helmerich & Payne Inc United States Energy 0.905806
PACW US Pacwest Bancorp United States Financials 0.8616179999999999
MET US Metlife Inc United States Financials 0.9202382
PRU US Prudential Financial Inc United States Financials 0.9624432
ABT US Abbott Laboratories United States Health Care 1.003733
BDX US Becton Dickinson & Co United States Health Care 1.1217442
MDT US Medtronic Plc United States Health Care 1.0510713
SYK US Stryker Corp United States Health Care 1.0224176999999999
STE US Steris Plc United States Health Care 1.0231394
ANTM US Anthem Inc United States Health Care 0.8541379
FAST US Fastenal Co United States Industrials 1.0160737
STX US Seagate Technology United States Information Technology 1.0032396000000001
INTC US Intel Corp United States Information Technology 1.0147919
CSCO US Cisco Systems Inc United States Information Technology 1.1398976
MSFT US Microsoft Corp United States Information Technology 1.0422252
NLOK US NortonLifeLock Inc United States Information Technology 1.1713748
WU US Western Union Co United States Information Technology 1.000445
TXN US Texas Instruments Inc United States Information Technology 1.1092912
NATI US National Instruments Corp United States Information Technology 0.9547048
ADP US Automatic Data Processing United States Information Technology 0.9346482999999999
ADI US Analog Devices Inc United States Information Technology 1.027557
GLW US Corning Inc United States Information Technology 0.9969475
IP US Intl Paper Co United States Materials 1.0635757
TDS US Telephone & Data Systems Inc United States Communication Services 1.1580382
PPL US Ppl Corp United States Utilities 0.8645744000000001
DUK US Duke Energy Corp United States Utilities 0.9611389
T US At&T Inc United States Communication Services 0.9947328
MRK US Merck & Co Inc United States Health Care 1.1205775
ABBV US Abbvie Inc. United States Health Care 0.9715717
UPS US United Parcel Service Inc B United States Industrials 1.1953692
SO US Southern Co United States Utilities 1.0352768
KMB US Kimberly-Clark United States Consumer Staples 1.0624023
GIS US General Mills Inc United States Consumer Staples 1.2027386
K US Kellogg Co United States Consumer Staples 1.0566006
PAYX US Paychex Inc United States Information Technology 0.8752816999999999
ABC US Amerisourcebergen Corp United States Health Care 1.0794732
BR US Broadridge Financial Solutions Inc. United States Information Technology 1.0551466
TRGP US Targa Resources Corp United States Energy 0.7049749999999999
JWN US Nordstrom Inc United States Consumer Discretionary 0.9969979999999999
OLN US Olin Corp United States Materials 1.3657582
FLO US Flowers Foods Inc United States Consumer Staples 1.140719
EHC US Encompass Health Corp United States Health Care 0.9530854999999999
LDOS US Leidos Holdings Inc United States Information Technology 0.9676705000000001
STWD US Starwood Property Trust Inc United States Financials 0.6938725
MFA US Mfa Financial Inc. United States Financials 0.7147913
MCY US Mercury General Corp United States Financials 1.0606153999999999
HUBB US Hubbell Inc United States Industrials 0.9770011000000001
VLY US Valley National Bancorp (Nj) United States Financials 1.0520513
BMY US Bristol-Myers Squibb United States Health Care 1.0607843000000001
CBRL US Cracker Barrel Old Country Store Inc United States Consumer Discretionary 0.79927
ORI US Old Republic Intl Corp United States Financials 0.8977163
MSI US Motorola Solutions Inc United States Information Technology 1.0625670999999999
TPR US Tapestry Inc United States Consumer Discretionary 0.8940739
CWEN US Clearway Energy Inc Cl C United States Utilities 1.1805599
IGT US International Game Technology Plc United States Consumer Discretionary 0.8536174000000001
WRK US Westrock Co United States Materials 1.188912
CMI US Cummins Inc United States Industrials 1.0258969999999998
WFC US Wells Fargo & Co United States Financials 1.0339354
OXY US Occidental Petroleum United States Energy 0.8646126000000001
GPS US Gap Inc United States Consumer Discretionary 0.8049649000000001
PFG US Principal Financial Group United States Financials 0.8706044
AVGO US Broadcom Inc United States Information Technology 0.9890997
KO US Coca-Cola Co United States Consumer Staples 0.9523382
IPG US Interpublic Group Cos United States Communication Services 0.8819008999999999
R US Ryder System Inc United States Industrials 1.0296436
KEY US Keycorp United States Financials 0.8700667000000001
CCL US Carnival Corp United States Consumer Discretionary 0.8226741
CAG US Conagra Brands Inc United States Consumer Staples 1.2664751
EV US Eaton Vance Corp United States Financials 1.0249327000000001
CAT US Caterpillar Inc United States Industrials 1.1551413
CY US Cypress Semiconductor Corp United States Information Technology 1.1530662
FL US Foot Locker Inc United States Consumer Discretionary 1.0535884
CATY US Cathay General Bancorp United States Financials 1.0029543
PKG US Packaging Corp Of America United States Materials 1.2269332000000002
FLR US Fluor Corp United States Industrials 0.9721168
NXST US Nexstar Media Group Inc United States Communication Services 0.7854315000000001
CMCSA US Comcast Corp A United States Communication Services 1.022581
RF US Regions Financial Corp United States Financials 0.9975047000000001
VIAC US ViacomCBS Inc B United States Communication Services 0.8796619
HBI US Hanesbrands Inc United States Consumer Discretionary 1.1180634
KBR US Kbr Inc United States Information Technology 0.9491835000000001
ARI US Apollo Commercial Real Estate Finance Inc. United States Financials 0.7139382
SBRA US Sabra Health Care Reit United States Real Estate 1.0440615
HCA US HCA Healthcare Inc United States Health Care 0.9072649
NWSA US News Corp A United States Communication Services 1.0383059000000001
SAIC US Science Applications International Corp United States Information Technology 0.9163927000000001
SC US Santander Consumer Usa Holdings Inc United States Financials 0.6986857
HPE US Hewlett Packard Enterprise Co United States Information Technology 1.054871
FHB US First Hawaiian Inc United States Financials 1.0950227
NVT US nVent Electric PLC United States Industrials 0.9032802
EAF US GRAFTECH INTERNATIONAL LTD United States Industrials 1.2942183
FOXA US Fox Corp - CLASS A United States Communication Services 0.9674003