Goldman Sachs ActiveBeta U.S. Large Cap Equity ETF NYSE Arca: GSLC
GSLC tracks an index of US large-cap stocks comprising 4 subindexes: value, momentum, quality, and low volatility. The index uses multiple factors to pick stocks, and each subindex receives equal weight
Name | Goldman Sachs ActiveBeta U.S. Large Cap Equity ETF |
Ticker | GSLC |
Exchange | NYSE Arca |
Category | US Market |
Sub Category | MultiFactor LowVolatility |
Price | 77.69 |
52W Low/High | 45.31 / 77.89 |
AUM | 7.5 B |
1Y Total Return |
18.71%
Above Average |
1Y Volatility |
33.70%
Average Risk |
Relative Strength Index : Attempt to identify overbought (above 80) and oversold (below 20) conditions
GSLC tracks an index of US large-cap stocks comprising 4 subindexes: value, momentum, quality, and low volatility. The index uses multiple factors to pick stocks, and each subindex receives equal weight
Details
Ticker | GSLC |
Name | Goldman Sachs ActiveBeta U.S. Large Cap Equity ETF |
ISIN | |
CUSIP | |
Exchange | NYSE Arca |
Category | US Market |
Sub Category | MultiFactor LowVolatility |
Country | USA |
Currency | U.S. Dollar |
Benchmark | Goldman Sachs ActiveBeta U.S. Large Cap Equity Index |
Share as of 1/22/21
Close Price | 77.69 |
52W Low/High | 45.31 / 77.89 |
1Y Total Return |
18.71%
Above Average |
1Y Volatility |
33.70%
Average Risk |
Beta | 1.01 |
12M Dividends | 0.998 |
Last Dividend Date | 12/24/20 |
Dist. Frequency | Quarterly |
Dividend Yield | 1.66% |
Data as of 2/28/20
AUM | 7.5 B |
Discount/Premium | 0.351% |
NAV | 59.78 |
Shares Outstanding | 125 M |
Volume 20D Avg | 587 K |
Nbr of Holdings | 452 |
ETF Global Risk Rank | Low |
Net Expense | 0.090% |
Options Available | Yes |
- High Beta & Momentum Strategies ETFs Funds by Factor-Smart β Risk (Volatility)
- US Multi Factor Strategies ETFs Funds by Factor-Smart β Multi-Factor & Momentum
- Multi-Factors & Weighted Volatility ETFs Funds by Factor-Smart β Risk (Volatility)
- US Large Cap Factors ETFs Funds by Factor-Smart β Size
- Target-Volatility Strategies ETFs Funds by Factor-Smart β Risk (Volatility)
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