Open topic with navigation
AltaVista Research ETF Data Points
Easily find ETFs using the ETF Market Scanner. Filter and scan over 1400 US Equity and Fixed Income ETFs with more than 30 data points provided by AltaVista Research, and view these data points in column form on any tool or window.
Altavista data points include:
- Altar ScoreTM - Stands for AltaVista Long-Term Annual Return Forecast Score. is AltaVista's proprietary measure of an ETF's overall investment merit. ALTAR compares funds based on their fundamentals and identifying value (or the lack thereof) and then assigns the following investment ratings based on this score: Avoid (< 3%), Underweight (3% to 6%), Neutral (6% to 8%), Overweight (8% to 11%) and Speculative (> 11%).
- Asset Class - The asset class of the ETF holding, such as Equity or Fixed Income.
- Asset Turnover Ratio - Asset turnover.
- Assets Under Management - The assets under management for the ETF.
- Average Altar ScoreTM - The average ALTAR score assigned by AltaVista for all funds in this category.
- Average Bid/Ask Spread % - The average spread between the bid and ask prices of the ETF, expressed as a percentage.
- Beta vs. S&P 500 - The ETFs beta versus that of the S&P 500 index.
- Book Value per Share (current year) - The forecasted book value/share for the current fiscal year.
- Book Value per Share (next year) - The forecasted book value/share for the upcoming fiscal year.
- Book Value per Share (previous year) - The forecasted book value/share for the prior fiscal year.
- Developed Market Exposure - The percentage of your portfolio allocated to Developed Markets as defined by Morgan Stanley Capital International (MSCI).
- Distribution Frequency - How often the ETF distributes gains and dividends.
- Dividend Yield (current year) - Forecasted dividend yield for the current fiscal year.
- Dividend Yield (next year) - Forecasted dividend yield for the upcoming fiscal year.
- Dividend Yield (previous year) - Forecasted dividend yield for the prior fiscal year.
- Dividends per share (current year) - Forecasted dividends per share for the current fiscal year.
- Dividends per share (next year) - Forecasted dividends per share for the upcoming fiscal year.
- Dividends per share (previous year) - Forecasted dividends per share for the prior fiscal year.
- EPS Growth (current year) - Forecasted earnings-per-share growth for the current fiscal year.
- EPS Growth (next year) - Forecasted earnings-per-share growth for the upcoming fiscal year.
- EPS Growth (previous year) - Forecasted earnings-per-share growth for the prior fiscal year.
- Earnings per share (current year) - Forecasted earnings per share for the current fiscal year.
- Earnings per share (next year) - Forecasted earnings per share for the upcoming fiscal year.
- Earnings per share (previous year) - Forecasted earnings per share for the prior fiscal year.
- Emerging Markets Exposure - The percentage of your portfolio allocated to Emerging Markets as defined by Morgan Stanley Capital International (MSCI).
- Expense - Annual expense ratio in basis points (bps).
- Five Year EPS Growth - Five year earnings-per-share growth as a compound annual growth rate.
- Five Year Performance - The total return of the ETF for the past five years.
- Forward Dividend Yield - Twelve months forward dividend yield.
- Forward P/E - Twelve months forward price-to-earnings ratio.
- Forward Price/Cash Flow - Twelve months forward price-to-cash flow ratio.
- Leverage - Debt divided by common equity.
- Long Term Growth - Consensus forecast for long-term EPS growth.
- Median Comp Moody Rating - Displays the median Moody's credit rating of the ETF's debt holdings.
- Median Comp S&P Rating - Displays the median S&P credit rating of the ETF's debt holding.
- NAV Ask - The ask price of the ETF's Net Asset Value (NAV).
- NAV Bid - The bid price of the ETF's Net Asset Value (NAV).
- NAV Change - The difference between the ETF Net Asset Value's Last and Closing prices on the previous trading day. The calculation is based on the ETF's underlying securities.
- NAV Change% - The difference between the ETF Net Asset Value's Last and Closing prices on the previous trading day expressed as a percentage. The calculation is based on the ETF's underlying securities.
- NAV Close - Today's closing price of the ETF's Net Asset Value. The calculation is based on the ETF's underlying securities.
- NAV Last - The Last price of the the ETF's Net Asset Value. The calculation is based on the ETF's underlying securities.
- NAV Prior Close - Yesterday's closing price of the ETF's Net Asset Value. The calculation is based on the ETF's underlying securities.
- Net Margin (current year) - The forecasted net margin for the current fiscal year.
- Net Margin (next year) - The forecasted net margin for the upcoming fiscal year.
- Net Margin (previous year) - The forecasted net margin for the prior fiscal year.
- Number of Components - Shows the number of the components held by the ETF.
- Number of Issuers - Shows the number of distinct issuers of debt held by the ETF.
- One Month EPS Change - The change in EPS estimates over the past month.
- One Year Performance - The total return of the ETF for the past year.
- P/E (current year) - Forecasted price-to-earnings ratio for the current fiscal year.
- P/E (next year) - Forecasted price-to-earnings ratio for the upcoming fiscal year.
- P/E (previous year) - Forecasted price-to-earnings ratio for the prior fiscal year.
- P/E to Growth (current year) - Forecasted P/E to Growth ratio for the current fiscal year.
- P/E to Growth (next year) - Forecasted P/E to Growth ratio for the upcoming fiscal year.
- P/E to Growth (previous year) - Forecasted P/E to Growth ratio for the prior fiscal year.
- Payout - Dividends divided by EPS.
- Pct with Fixed Interest Rate - Shows the percentage of the ETF's holdings that are fixed interest rate debt (as opposed to variable).
- Pct with Standard Maturity - Shows the percentage of the ETF's holdings with standard maturity (as opposed to callable/convertible etc).
- Performance since Inception - Total return of the ETF since the fund's inception.
- Price-to-Sales (current year) - The forecasted price-to-sales ratio for the current fiscal year.
- Price-to-Sales (next year) - The forecasted price-to-sales ratio for the upcoming fiscal year.
- Price-to-Sales (previous year) - The forecasted price-to-sales ratio for the prior fiscal year.
- Price/Book Value (current year) - The forecasted price/book value for the current fiscal year.
- Price/Book Value (next year) - The forecasted price/book value for the upcoming fiscal year.
- Price/Book Value (previous year) - The forecasted price/book value for the prior fiscal year.
- Price/Cash Flow (current year) - The forecasted price/cash flow for the current fiscal year.
- Price/Cash Flow (next year) - The forecasted price/cash flow for the upcoming fiscal year.
- Price/Cash Flow (previous year) - The forecasted price/cash flow for the prior fiscal year.
- RSI 30 Day - The Relative Strength Indicator calculated over the past 30 days.
- Return on Equity (current year) - Forecasted return on equity for the current fiscal year.
- Return on Equity (next year) - Forecasted return on equity for the upcoming fiscal year.
- Return on Equity (previous year) - Forecasted return on equity for the prior fiscal year.
- SPS Growth (current year) - Forecasted sales per share growth% for the current fiscal year.
- SPS Growth (next year) - Forecasted sales per share growth% for the upcoming fiscal year.
- SPS Growth (previous year) - Forecasted sales per share growth% for the prior fiscal year.
- Sales per share (current year) - Forecasted sales per share for the current fiscal year.
- Sales per share (next year) - Forecasted sales per share for the upcoming fiscal year.
- Sales per share (previous year) - Forecasted sales per share for the prior fiscal year.
- Short Interest Ratio - Shows the ratio of shares shorted to the overall float.
- Ten Year Performance - Shows the total return of the ETF for the past 10 years.
- Three Month EPS Change - Change in EPS estimates over the past three months.
- Tracking Difference - The difference in one year's return between the ETF and its benchmark value.
- Weighted Average Convexity - Shows the weighted average of the convexity for each of the ETF's debt holdings.
- Weighted Average Coupon - Shows the weighted average of the coupons for each of the ETF's debt holdings.
- Weighted Average Current Yield - Shows the weighted average of the current yield for each of the ETF's debt holdings.
- Weighted Average Macaulay Duration - Shows the weighted average Macauley duration (in years) of the ETF's debt holdings.
- Weighted Average Maturity - Shows the weighted average maturity (in years) of each of the ETF's debt holdings.
- Weighted Average Modified Duration - Shows the weighted average modified duration (as a percent) of the ETF's debt holdings.
- Weighted Average Yield to Maturity - shows the weighted average of the yield to maturity for each of the ETF's debt holdings.
- Year to Date Performance -Total return of the ETF for the current year-to-date.