• LAST PRICE
    9.13
  • TODAY'S CHANGE (%)
    Trending Up0.04 (0.44%)
  • Bid / Lots
    9.11/ 8
  • Ask / Lots
    9.13/ 271
  • Open / Previous Close
    9.11 / 9.09
  • Day Range
    Low 9.10
    High 9.13
  • 52 Week Range
    Low 7.57
    High 9.13
  • Volume
    109,008
    above average
  • Overall Morningstar Rating
    Please Note: Not Ratedout of funds

Search Criteria

Filter search criteria using below inputs

Click on magnifying glass icon to search

Search Criteria - - - Stocks (0)
CompanyCountrySymbol

The Holdings tab displays the top ten holdings in an ETF, based on market value and ranked by the percentage of the fund’s assets. The tab also provides information about the diversity of asset classes in a fund, its geographic diversification, fundamental values, and long and short statistics for a fund’s holdings.

Open a New Account, or Login if you're a client.

Top 10 Holdings

Top 10 Holdings
Company Name sortablePosition sortableAllocation sortable
Allocation
1 Month Change
sortable
Market Value sortable
CanadaHLIF
Harvest Canadian Eq Inc Ldrs ETF A Inc
Long
18.0%
+2.10%
$72.8M
CanadaHBF
Harvest Brand Leaders Plus Inc ETF
Long
17.4%
+2.10%
$70.3M
CanadaHUTL
Harvest Equal Weight Glbl Utilts Inc ETF
Long
17.2%
+2.10%
$69.7M
CanadaHHL
Harvest Healthcare Leaders Inc ETF
Long
16.1%
+2.10%
$65.3M
CanadaHarvest Tech Achievers Gr&Inc ETF
Long
15.8%
+2.10%
$64.2M
CanadaHUBL
Harvest US Bank Leaders Income ETF Cl A
Long
15.5%
-3.82%
$62.7M
CanadaTRVI
Harvest Travel & Leisure Income ETF A
Long
15.0%
-1.64%
$60.8M
CanadaHGR
Harvest Global REIT Leaders Income ETF
Long
5.3%
+20.74%
$21.3M
CanadaHIND
Harvest Industrial Leaders Income ETF A
Long
4.2%
+2.10%
$17.2M
As of 2024-11-22

Asset Class Diversification

Asset Class Diversification
Asset Class sortable% Allocation sortableCategory Avg sortableFund vs. Category Avg sortable
Canadian Equity
20.5% Long / 0.0% Short
20.5%
0.3%
Fund 20.52
Category 0.26
Cash
2.6% Long / 0.0% Short
-22.0%
-7.3%
Fund -22.01
Category -7.34
Fixed Income
0.5% Long / 0.0% Short
0.5%
0.0%
Fund 0.46
Category 0.01
Int'l Equity
9.4% Long / 0.0% Short
8.7%
0.5%
Fund 8.71
Category 0.48
Other
0.0% Long / 0.0% Short
0.0%
0.0%
Fund 0
Category 0
US Equity
92.3% Long / 0.0% Short
92.3%
30.8%
Fund 92.33
Category 30.78
As of 2024-10-31

Morningstar Sector Diversification

Morningstar Sector Diversification
Sector Class sortable% Allocation sortableCategory Avg sortableFund vs. Category Avg sortable
Financial Services
20.4% Long / 0.0% Short
24.9%
14.6%
Fund 24.85
Category 14.56
Technology
16.0% Long / 0.0% Short
19.5%
12.5%
Fund 19.5
Category 12.47
Healthcare
14.1% Long / 0.0% Short
17.2%
7.1%
Fund 17.24
Category 7.11
Consumer Cyclical
10.3% Long / 0.0% Short
12.5%
7.4%
Fund 12.52
Category 7.35
Utilities
9.3% Long / 0.0% Short
11.4%
3.2%
Fund 11.38
Category 3.16
Comm. Services
7.9% Long / 0.0% Short
9.6%
5.4%
Fund 9.59
Category 5.39
Energy
6.8% Long / 0.0% Short
8.3%
9.1%
Fund 8.26
Category 9.13
Real Estate
6.2% Long / 0.0% Short
7.6%
2.7%
Fund 7.55
Category 2.66
Industrials
5.9% Long / 0.0% Short
7.2%
4.1%
Fund 7.16
Category 4.05
Consumer Defensive
2.8% Long / 0.0% Short
3.5%
5.5%
Fund 3.47
Category 5.5
Basic Materials
0.5% Long / 0.0% Short
0.6%
3.0%
Fund 0.6
Category 3.04
As of 2024-10-31

Geographic Diversification

Geographic Diversification
Geographic Class sortable% Allocation sortableCategory Avg sortableFund vs. Category Avg sortable
United States
75.5% Long / 0.0% Short
75.5%
42.4%
Fund 75.54
Category 42.37
Canada
16.8% Long / 0.0% Short
16.8%
24.6%
Fund 16.79
Category 24.64
Europe
3.2% Long / 0.0% Short
3.2%
2.0%
Fund 3.2
Category 2.02
Asia/Oceania
0.4% Long / 0.0% Short
0.4%
1.4%
Fund 0.35
Category 1.43
Africa
0.0% Long / 0.0% Short
0.0%
0.0%
Fund 0
Category -0.01
Latin America
0.0% Long / 0.0% Short
0.0%
0.1%
Fund 0
Category 0.07
As of 2024-10-31

Long/Short Statistics

Bar Graph. See accessible table below
Long/Short Statistics Accessibility Table. Data as Of Oct 31, 2024
Long HoldingsShort Holdings
All Holdings90.00%10.00%
Stocks0.00%0.00%
Fixed Income0.00%0.00%

Fundamentals

The fundamental values below are calculated as the weighted average of the holdings in a fund, and compared against the category average.
Fundamentals Table
All Holdings
HDIF
Category Average
405.1M
---
The cumulative market value of all assets that an investment company manages for its clients. It can be interpreted as a credibility rating for an investment firm, but many firms calculate this number using different methodologies. This value can increase due to asset appreciation and new cash inflows from investors or, alternatively, it can decrease due to asset depreciation or cash withdrawals by investors.
21.41%
---
The value of assets either bought or sold over the year as a percentage of a fund’s net asset value. Investors should be conscious of a fund’s turnover because this can incur high transaction costs, which are not always included in the expense ratio, further reducing an investor’s net return.
Stock Holdings
HDIF
Category Average
---
$16.98
The amount of profit that is attributed to each share of common stock outstanding. It is the profitability measure that most directly influences a share’s price.
20.70x
21.46x
This ratio compares the price per share of a stock to the earnings per share received by investors. It can be interpreted as the amount which an investor is willing to pay for each dollar of a company’s earnings. This is a helpful ratio when comparing firms within an industry, but should be viewed with caution when being compared across industries.
2.40x
2.54x
A comparison of the current market value of a firm's stock to its original book value. The market value is discovered by taking the current market share price times the total number of shares outstanding. This ratio can give an investor a signal about the current valuation of a stock but varies widely across industries.
7.13%
8.40%
The dollar amount that is generated for every dollar in assets put into use by the company. This measures how profitable a company's assets truly are. The higher the number, the more efficiently assets are being put to use. This ratio can be compared to other companies in the same industry group to gain an understanding of the company's efficiency relative to peers.
21.16%
19.30%
A way to determine how many dollars are generated for every dollar invested in capital. This ratio can be compared to other companies in the same industry group to gain an understanding of the company's efficiency relative to peers.
3.02%
2.32%
A measure of the return from a stock investment that will come from dividend payments. Dividends are not guaranteed nor are they consistent and they account for only a portion of the return on a stock investment along with stock price appreciation.
Fixed Income Holdings
HDIF
Category Average
---
---
An evaluation of an entity’s credit history in determining whether they are worthy or not of obtaining future financing. Entities with a poor history will have a lower rating, and therefore financiers will require a greater rate of return on their loan due to a higher risk of default.
---
---
A method of measuring the maturity of a bond while also accounting for the probability that the bond may be called.
---
---
The rate of return paid to the holder of a bond, note or other security that the investor holds until maturity. Also referred to as a bond's "yield", the yield to maturity is stated on an annual rate. Calculating the YTM uses the coupon rate, time to maturity, and the market price of the security.
As of 2024-10-31