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Timothy Plan High Dividend Stock ETF (TPHD)

Timothy Plan High Dividend Stock ETF (TPHD)
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Overview

Name Timothy Plan High Dividend Stock ETF
Fund Family Timothy Plan
Underlying Index Victory US Large Cap High Dividend Volatility Weighted BRI Index
Inception Date 05/01/19
First Trade Date 05/01/19
Leverage Long
Asset Class Equity

Description:

The Timothy Plan High Dividend Stock ETF seeks to achieve its investment objective by investing, under normal market conditions, at least 80% of its net assets directly or indirectly in the securities included in the Victory US Large Cap High Dividend Volatility Weighted BRI Index, an unmanaged, volatility weighted index created by the Sub-Advisor. A volatility weighted index assigns percentage values to each security in the Index based on the volatility of that security in the market. More volatile stocks have a lower weighting, and less volatile stocks are assigned a higher weighting.

Investment Information

Alpha 0.00
60-Month Beta 0.94
Standard Deviation +0.32
Shares Outstanding, K 6,550.00
Managed Assets, $K 237,572.40 K
Net Asset Value 36.27
First Trade Price 25.02
P/E Ratio 14.30
Management Fee 0.52%
Options No
Latest Dividend 0.106
Last Dividend Date 12/12/24
Annual Dividend 0.87
Annual Dividend Yield 2.40%
1-Year Return 9.88%
3-Year Return 11.84%
5-Year Return 36.09%
Management Expense Ratio 0.52%

TPHD Dividends

Date Value
12/12/24 $0.1060
11/07/24 $0.0330
10/08/24 $0.0400
09/11/24 $0.1020
08/08/24 $0.0410
07/10/24 $0.0360
06/12/24 $0.1150
05/09/24 $0.0420
04/11/24 $0.0600
03/11/24 $0.1400
02/09/24 $0.0340
01/11/24 $0.0100
12/18/23 $0.1110
11/09/23 $0.0520
11/08/23 $0.0520
10/11/23 $0.0520
09/06/23 $0.0790
08/08/23 $0.0420
07/10/23 $0.0410
06/09/23 $0.1030
05/10/23 $0.0380
04/11/23 $0.0720
03/10/23 $0.1040
02/10/23 $0.0290
01/12/23 $0.0020
12/16/22 $0.1310
11/08/22 $0.0340
10/11/22 $0.0590
09/09/22 $0.0960
08/09/22 $0.0290
07/11/22 $0.0470
06/10/22 $0.1310
05/10/22 $0.0150
04/11/22 $0.0650
03/11/22 $0.0940
02/10/22 $0.0420
12/16/21 $0.0760
11/08/21 $0.0310
10/08/21 $0.0640
09/09/21 $0.0670
08/09/21 $0.0300
07/09/21 $0.0770
06/10/21 $0.0690
05/10/21 $0.0340
04/09/21 $0.0640
03/11/21 $0.0560
02/10/21 $0.0350
12/16/20 $0.1210
11/12/20 $0.0320
10/07/20 $0.0610
09/09/20 $0.0600
07/08/20 $0.0490
06/10/20 $0.0780
05/13/20 $0.0280
04/07/20 $0.0580
03/11/20 $0.0750
02/12/20 $0.0250
12/18/19 $0.1240
11/13/19 $0.0340
10/15/19 $0.0470
09/10/19 $0.0740
08/14/19 $0.0220
07/17/19 $0.0620
06/13/19 $0.0690
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