DIVD ISSUER
Altrius Capital Management, Inc.'s Dividend Income Fund (DIVD) exhibits a strategic investment approach aimed at generating income through dividend-paying equity securities. To achieve its objectives, DIVD commits to investing a substantial portion, specifically at least 90% of its net assets along with any borrowed funds for investment, in dividend-yielding equity securities. The fund primarily focuses on common stocks as the principal type of equity security in its portfolio. Additionally, under typical market conditions, DIVD ensures a diversified global exposure by allocating a minimum of 30% of its assets to investments outside the United States. This emphasis on international investments reflects a broader strategy to capitalize on opportunities beyond domestic borders, potentially enhancing the fund's overall performance and income generation.
DIVD DIVIDEND
DIVD, the Dividend Income Fund managed by Altrius Capital Management, Inc., is designed to deliver consistent and attractive dividend yields to its investors. With a core strategy centered on investing in dividend-paying equity securities, DIVD aims to provide a steady stream of income to its shareholders. The fund's commitment to allocating at least 90% of its net assets, combined with any borrowings for investment purposes, to dividend-yielding equities underscores its dedication to income generation. By primarily focusing on common stocks, DIVD seeks to capture the dividend potential inherent in these equity instruments. This dividend-centric approach aligns with the fund's overarching objective of creating a reliable income stream for investors, making DIVD an appealing choice for those seeking income-oriented investment opportunities.
DIVD TRACKING
DIVD, the Dividend Income Fund managed by Altrius Capital Management, Inc., employs a meticulous tracking strategy to monitor its performance and achieve its investment objectives. The fund is dedicated to monitoring and adjusting its portfolio to ensure that at least 90% of its net assets, along with any borrowed funds for investment, are invested in dividend-paying equity securities. This vigilant tracking mechanism enables DIVD to adapt to market conditions and capitalize on opportunities in the dividend-yielding equity landscape. Additionally, under normal market circumstances, DIVD ensures a diversified global footprint by tracking its investments, allocating a minimum of 30% of its assets outside the United States. By actively tracking and managing its portfolio composition, DIVD aims to deliver optimal results and uphold its commitment to generating consistent dividend income for its investors.
DIVD CORRELATION
The correlation aspect of the Altrius Global Dividend ETF plays a crucial role in understanding its behavior in relation to the broader U.S. equity market. Since Altrius Global Dividend ETF tracks a specific index or sector, its correlation with the overall market can vary depending on the economic environment and market conditions. To gain a deeper understanding of the correlation patterns of Altrius Global Dividend ETF with other assets and sectors, investors can leverage ETF Insider's web app. This tool offers comprehensive and visually intuitive data, helping investors identify correlations, overlaps, and potential diversification opportunities, enhancing their ability to make informed investment decisions.
DIVD SECTOR
DIVD, the Dividend Income Fund under the management of Altrius Capital Management, Inc., strategically navigates the equity landscape by considering sector allocations. The fund carefully assesses and allocates its investments across various sectors to achieve a well-balanced and diversified portfolio. While emphasizing dividend-paying equity securities, DIVD recognizes the importance of sector selection in optimizing its performance. By strategically distributing its investments, the fund aims to capture dividend opportunities while managing sector-specific risks. This sector-aware approach allows DIVD to adapt to changing market conditions and capitalize on the strengths of different industries, contributing to the overall resilience and performance of the fund. Investors in DIVD benefit from a thoughtfully crafted portfolio that aligns with the fund's objective of generating consistent income through dividend-yielding securities across a range of sectors.
DIVD EXPOSURE
DIVD, the Dividend Income Fund managed by Altrius Capital Management, Inc., actively manages its exposure to different asset classes and geographic regions to optimize risk and return. The fund carefully considers the allocation of its investments to various financial instruments, with a primary focus on dividend-paying equity securities. DIVD strategically positions itself in the market by adjusting its exposure to different sectors and asset classes based on market conditions and potential opportunities. Additionally, the fund ensures a diversified global exposure by allocating at least 30% of its assets outside the United States under normal market conditions. This dynamic approach to exposure management reflects DIVD's commitment to adaptability, allowing it to capitalize on income-generating opportunities while maintaining a balanced risk profile. Investors in DIVD benefit from a well-managed exposure strategy that aligns with the fund's overarching goal of providing consistent dividend income in a diversified and risk-conscious manner.