American Century ETF Trust - American Century Small Cap Value Insights ETF
ETF
10 mo
Equity
-0.3%
-1.0%
—
—
▲▲▲ 3/3
+1.9σ
-1.0%
14.2%
-1.0%
ACTS
FIS Trust
ETF
5 mo
Other
-0.7%
-2.3%
—
—
—
−0.1σ
-7.9%
—
-7.9%
ACVF
ETF Opportunities Trust - American Conservative Values ETF
ETF
5.8 yrs
Equity
-0.2%
-1.6%
+17.4%
+18.6%
▲▲▲ 3/3
+1.7σ
-1.6%
11.0%
-1.6%
ACVT
Advent Convertible Bond ETF
ETF
1.3 yrs
Fixed Income
+0.4%
-0.7%
+10.6%
—
▲▲▲ 3/3
+1.7σ
-0.7%
6.3%
-0.7%
ACVU
Hartford Funds Exchange-Traded Trust - Hartford Quality Value ETF
ETF
5 mo
Equity
+0.4%
-0.7%
—
—
—
+2.2σ
-0.7%
—
-0.7%
ACWEF
SSgA SPDR ETFs Europe I Public Limited Company - SPDR MSCI ACWI UCITS ETF
ETF
5.8 yrs
Other
—
+0.0%
+27.0%
+21.3%
▲▲▲ 3/3
+1.7σ
0.0%
13.0%
0.0%
ACWI
iShares MSCI ACWI ETF
ETF
18.4 yrs
Equity
+0.4%
-1.5%
+23.3%
+20.5%
▲▲▲ 3/3
+1.5σ
-1.5%
12.5%
-1.5%
ACWV
iShares MSCI Global Min Vol Factor ETF
ETF
14.8 yrs
Equity
+0.8%
-0.6%
+8.6%
+11.1%
▲▲▲ 3/3
+1.1σ
-0.6%
8.6%
-0.6%
ACWX
iShares MSCI ACWI ex U.S. ETF
ETF
18.4 yrs
Equity
+0.6%
-1.5%
+27.3%
+19.3%
▲▲▲ 3/3
+1.2σ
-1.5%
15.6%
-1.5%
ACYN
FT Vest Laddered Autocallable Barrier & Income ETF
ETF
6 mo
Other
+0.1%
-0.3%
—
—
—
+1.6σ
-0.3%
—
-0.3%
ACYQ
FT Vest Autocallable Barrier & High Income ETF
ETF
2 mo
Other
-0.3%
+0.5%
—
—
—
—
0.0%
—
0.0%
ACYS
FT Vest Laddered Autocallable Barrier & Resilient Income ETF
ETF
4 mo
Other
+0.1%
-0.1%
—
—
—
+1.7σ
-0.1%
—
-0.1%
What these columns mean (14)
Identity
Ticker
Exchange ticker symbol. The security's name is its own column.
Name
Security name. Separate from the ticker so each can be sorted and read on its own, and so the name can be hidden when the table is crowded.
Type
ETF or individual stock.
History
Years of price history behind this row. This is the data WE hold, not the fund's inception date — a short history means the long return and risk columns are blank or thin.
Sector
GICS sector for a stock. For a fund this is its asset class — see the Asset class column, which is the field to screen on across both.
Returns
1D
One session: the latest close against the close before it. The two dates come from the vendor's own trading days, so a Friday-to-Monday move is one day and a holiday gap still counts as one session. Blank until we have seen two closes for a security.
WTD
Week to date, from the last close before Monday.
1Y
Trailing twelve months, measured back from the last completed week so that mid-week changes reflect price rather than the calendar.
3Y Ann.
Trailing three years, annualised, measured back from the last completed week.
Trend
Trend
How many of the three windows the price is above, 0 to 3. Blank when the security is too young to have all three averages — an unknown window is not a falling one.
Stretch
Stretch
How far the price sits from its own recent average, measured in standard deviations of that security's weekly moves, which puts extension in the context of how much that security normally moves. Within ±1.5 is ordinary; beyond ±2.5 is genuinely stretched, reached about 1% of the time by a security going nowhere. Read it alongside trend, not instead of it: a security rising 20% a year clears +2.5 in roughly one week in seven simply because it is rising. Least meaningful for very low-volatility holdings such as money-market and T-bill funds, where there is almost no week-to-week movement to measure against. Not a valuation — there are no fundamentals behind this number.
Risk
From ATH
Current distance below the highest close in all the history we hold. Read alongside From 52W high: the two answer different questions, and a security can be near its yearly high and far below its all-time one.
Vol 1Y
Annualised volatility of weekly returns over the last 52 weeks.
From 52W high
Distance below the highest weekly close of the last year. Distinct from From ATH, which measures against all the history we hold.