SRVR ETF ANALYSIS

Popular ETFs

S&P 500 ETF Trust

Nasdaq-100 Index Tracking ETF

Dow Jones Industrial Average ETF

iShares Russell 2000 ETF

iShares MSCI Emerging Markets ETF

Financial Select Sector SPDR Fund

SRVR ETF FUNDAMENTALS
SRVR ETF PERFORMANCE

SRVR ISSUER

The Global X SuperDividend® REIT ETF (SRVR) is brought to you by Global X Management Company LLC. This ETF employs a passive management investment approach, aiming to track the total return performance of the Solactive SuperDividend® REIT Index before fees and expenses. The index measures the performance of real estate investment trusts (REITs) primarily involved in the data and infrastructure real estate sectors within the U.S. equity market. The SRVR ETF provides investors with exposure to companies deriving significant earnings or revenues from these sectors, offering a unique investment opportunity in the real estate market.

SRVR DIVIDEND

While the primary objective of the SRVR ETF is to track the performance of companies in the data center and cell tower real estate sector, it also reflects a dividend distribution strategy. The ETF typically distributes dividends on a quarterly basis, in accordance with the dividend policies of its constituent companies. Investors in SRVR may benefit from both potential capital appreciation and dividend income, given the stable and income-generating nature of the real estate assets within its portfolio. The SRVR ETF selects its holdings based on a proprietary quality factor that emphasizes management efficiency, profitability, and cash flow generation. It strives to minimize overall portfolio volatility and maximize the quality of its holdings. As of December 31, 2022, the ETF was comprised of a diversified portfolio of securities within the data center and cell tower real estate sector, offering investors a balanced exposure to this growing industry. The ETF's dividend distributions are subject to the performance and dividend policies of the underlying companies, providing investors with an opportunity for regular income along with potential long-term growth.

SRVR TRACKING

The SRVR ETF employs a passive management investment approach designed to track the total return performance of the Data and Infrastructure Real Estate Sector Index, developed by Global Property Research B.V. and Solactive AG. This index measures the performance of equity securities from developed market companies that generate at least 85% of their earnings or revenues from data and infrastructure real estate operations. The index constituents include real estate investment trusts (REITs) and may also consist of companies with significant international business operations. The ETF aims to provide investors with exposure to this specialized sector by closely tracking the index, with the goal of achieving a 95% or better correlation with index performance over time.

SRVR CORRELATION

The correlation aspect of the Pacer Benchmark Data & Infrastructure Real Estate SCTR ETF (SRVR) is essential for investors seeking exposure to the data and infrastructure real estate sector. This ETF aims to replicate the performance of an index composed of companies deriving at least 85% of their earnings from real estate operations in this sector. As such, SRVR is expected to have a strong correlation with the data and infrastructure real estate market, making it a valuable tool for investors looking to track this specific segment of the market. For more in-depth analysis and insights into SRVR's correlations with other assets and sectors, investors can utilize the ETF insider web app, which provides comprehensive data visualization tools to explore correlations and overlaps in the U.S. ETF landscape.

SRVR SECTOR

The ALPS Sector Dividend Dogs ETF (SRVR) is primarily involved in the real estate sector, focusing on companies that own and manage real estate used for data storage, computation, and data transmission, such as data centers and communication towers. The fund tracks the performance of the Index developed by Global Property Research B.V. and Solactive AG, which consists of equity securities of developed market companies deriving at least 85% of their earnings or revenues from data and infrastructure real estate operations. This sector offers exposure to the growing demand for data infrastructure, making it an appealing choice for investors looking to capitalize on the digitalization and data-driven trends in today's economy. However, it's important to note that this concentration in a specific sector may introduce higher risk due to potential market fluctuations within the real estate and technology industries.

SRVR EXPOSURE

The exposure characteristic of the Pacer Benchmark Data & Infrastructure Real Estate SCTR ETF (SRVR) is centered on the data and infrastructure real estate sector within the U.S. equity market. This ETF employs a passive management strategy to track the performance of the underlying index, which consists of equity securities from developed markets companies. These companies derive at least 85% of their earnings or revenues from real estate operations in the data and infrastructure real estate sectors, with a focus on Eligible Companies. While real estate investment trusts (REITs) are expected to make up a significant portion of the index, some companies may have significant operations outside of the United States. SRVR offers investors exposure to the growing data and infrastructure real estate sector, providing an opportunity to participate in the expansion of data centers and communications towers.

ETF Insider is a data-driven portfolio analytics and optimization platform that introduces a more efficient and practical way to visualize, analyze and optimize portfolios.

Rather than focusing on the surface-level attributes of ETFs and Mutual Funds, ETF Insider goes deeper by examining the underlying holdings of exchange traded products.
By organizing and structuring that data, investors can easily navigate within their overlapping layers.

This innovative perspective combined with modern data visualization and modeling tools, provides an entirely new approach to portfolio optimization that can quickly expose both portfolio inefficiencies and opportunities.

BLOG ARTICLES

What is the  SRVR ETF ?
Blog book icon3 min read
By Ron Koren ETF Insider

What is the SRVR ETF ?

The SRVR ETF, or "Global X Data Center REITs & Digital Infrastructure ETF," is a specialized investment vehicle focused on the real estate investment trust (REIT) sector, particularly data centers and digital infrastructure. This ETF offers investors exposure to companies that own, operate, and manage data centers, serving as critical components of the rapidly growing digital economy. Discover the potential of SRVR ETF and how it can be a strategic addition to investment portfolios in the digital age.

ARKG VS FBT: Tracking Methods and Exposure
Blog book icon4 min read
By Ron Koren ETF Insider

ARKG VS FBT: Tracking Methods and Exposure

ARKG and FBT are distinct ETFs that focus on the biotechnology sector. However, they differ in their investment strategies and underlying holdings.

UGL VS DGL
Blog book icon4 min read
By Ron Koren ETF Insider

UGL VS DGL

Compare the UGL and DGL ETFs with our thorough analysis. Dive into the performance metrics, underlying assets, and investment strategies.

FREQUENTLY ASKED QUESTIONS

Can you explain the correlation of SRVR with the U.S. equity market?
Question Arrow
How does SRVR provide exposure to the U.S. equity market?
Question Arrow
How does SRVR's dividend strategy compare to other funds like QQQ and IWM?
Question Arrow
What does SRVR mean on the stock market?
Question Arrow
What does SRVR stand for on the stock market?
Question Arrow
What is the sector composition of SRVR?
Question Arrow

GET STARTED NOW!

No Credit Card Required
Full Data Protection
Overlap And Correlation
Insightful Visualization
Impactful Drill-Downs
Real-Time Data Feeds
Full Coverage For The U.S.

ETF Insider is a novel portfolio optimization tool that uses the power of data visualization to gain insight into portfolio compositions, concentration risks, portfolio efficiency and more. Complex financial data can be transformed into visually appealing and easily digestible graphs and charts, allowing investors to quickly identify trends and make well-informed investment decisions. Not only does this save time, but it also increases the accuracy and effectiveness of portfolio management.