Today we accumulated more shares of the iShares U.S. Aerospace & Defense ETF (ITA). Folks you’ve gotta buy this stuff when it’s on sale. Read why we invest in ITA right here: 4 Best Long-Term Performance Industrials Sector ETFs 1.3
Accumulated Industrials Sector Equities Today (ITA) 6-29-20
Today we accumulated more shares of the iShares U.S. Aerospace & Defense ETF (ITA). Folks, you’ve gotta buy this stuff when it’s on sale. Read why we invest in ITA right here: 4 Best Long-Term Performance Industrials Sector ETFs 1.3
iShares U.S. Aerospace & Defense ETF Trust Dividend Announcement (ITA) 1.10% Yield
iShares U.S. Aerospace & Defense ETF/iShares Trust (BATS:ITA) on 06/14/2019 declared a dividend of $ 0.6140 per share payable on June 21, 2019 to shareholders of record as of June 18, 2019. Dividend amount recorded is an increase of $ 0.0296 from last dividend Paid.
iShares U.S. Aerospace & Defense ETF/iShares Trust (BATS:ITA) has paid dividends since 2006, has a current dividend yield of 1.10% and has increased its dividends for 3 successive years.
Dividend Declaration Date: June 14, 2019
Dividend Ex Date: June 17, 2019
Dividend Record Date: June 18, 2019
Dividend Payment Date: June 21, 2019
Dividend Amount: $ 0.6140
Best Long-Term Performance Industrials Sector ETFs 1.2
- The oldest available Industrials sector ETF has outperformed an S&P 500 index fund by 1.45% CAGR over the last 20 years
- There are currently 23 Industrials sector ETFs available; 13 of these are 10 years old or older
- The best performing Industrials sector ETF has outperformed an S&P 500 index fund by 4.41% CAGR over the last 12 years
The Industrial Select Sector SPDR® Fund (XLI) is the oldest available Industrials sector ETF. Its’ inception date was December 16, 1998. Since inception, this ETF has outperformed an S&P 500 index fund by 1.45% CAGR. In the chart below, you can see the benefit of this outperformance where a $10k investment in XLI grew to $42k while a $10k investment in the S&P 500 only grew to $32k. This sector ETF also has a market correlation of 0.88, which can be useful when building a diversified equity portfolio.
XLI vs S&P 500 index fund: January 1999 – November 2018
Source: https://www.portfoliovisualizer.com/
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