S-Network Sector Dividend Dogs Indexes

Index History

Sectors
as of 03-20-2020

Countries

Index Constituents
as of 03-20-2020

Ticker Company Name Country Sector Weight
CNK US Cinemark Holdings Inc United States Communication Services 1.9285215000000002
SIX US Six Flags Entertainment Corp United States Consumer Discretionary 1.7322641
FLO US Flowers Foods Inc United States Consumer Staples 2.3495729
INGR US Ingredion Inc United States Consumer Staples 2.2482638
CVI US Cvr Energy Inc United States Energy 2.3976861
TECH US Bio-Techne Corp United States Health Care 2.3116023
MIC US Macquarie Infrastructure Corp United States Industrials 1.3808419
SON US Sonoco Products Co United States Materials 2.2302232
HRC US Hill-Rom Holdings Inc United States Health Care 2.2446373
NATI US National Instruments Corp United States Information Technology 1.9664338
EHC US Encompass Health Corp United States Health Care 1.9630987
PBF US Pbf Energy Inc A United States Energy 1.1869083
PACW US Pacwest Bancorp United States Financials 1.7747002
MSM US Msc Industrial Direct A United States Industrials 2.2383262
HUN US Huntsman Corp United States Materials 2.0633947
OLN US Olin Corp United States Materials 2.8130927999999997
OGE US Oge Energy Corp United States Utilities 1.9241207
ENR US Energizer Holdings Inc United States Consumer Staples 2.017239
BGCP US Bgc Partners Inc A United States Financials 2.0149106
WSO US Watsco Inc United States Industrials 2.2248357
CY US Cypress Semiconductor Corp United States Information Technology 2.3750049
SJI US South Jersey Industries Inc United States Utilities 2.3077037000000002
R US Ryder System Inc United States Industrials 2.1207877
MUR US Murphy Oil Corp United States Energy 1.7997564000000001
AVX US Avx Corp United States Information Technology 2.4675509
NYCB US New York Community Bancorp Inc United States Financials 2.3138052
SABR US Sabre Corporation United States Information Technology 0.149005
CWEN US Clearway Energy Inc Cl C United States Utilities 2.4316345
VIRT US Virtu Financial Inc. A United States Financials 2.4349065999999997
IGT US International Game Technology Plc United States Consumer Discretionary 1.7582213
BRKR US Bruker Biosciences Corp United States Health Care 2.2703796
JW/A US John Wiley & Sons Inc. A United States Communication Services 2.1486405
SBGI US Sinclair Broadcast Group A United States Communication Services 2.0966095
TGNA US Tegna Inc United States Communication Services 1.8738569
AVT US Avnet Inc United States Information Technology 2.1430652
CCOI US Cogent Communications Holdings Inc United States Communication Services 2.3162162
SXT US Sensient Technologies Corp United States Materials 2.3268276
GT US Goodyear Tire & Rubber Co United States Consumer Discretionary 1.9590824999999998
NFG US National Fuel Gas United States Utilities 2.2804742
CNMD US Conmed Corp United States Health Care 1.6613109000000001
FL US Foot Locker Inc United States Consumer Discretionary 2.1701074
STLD US Steel Dynamics Inc United States Materials 2.1370421
BG US Bunge Ltd United States Consumer Staples 2.0459385
UMPQ US Umpqua Hldgs Corp United States Financials 2.2787696
WYND US Wyndham Destinations Inc United States Consumer Discretionary 1.5448452
SPB US Spectrum Brands Holdings Inc United States Consumer Staples 1.4368223
PE US Parsley Energy Inc A United States Energy 1.9442484999999998
TERP US Terraform Power Inc A United States Utilities 2.3362000000000003
NVT US nVent Electric PLC United States Industrials 1.8605132