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Asset Summary

No data available for Daily Sep 17, 2024, .

Asset Performance Metrics and Risk Characteristics:

Understanding asset performance is crucial for evaluating investment quality and making informed decisions. Metrics like trailing return and drawdown provide insights into how an asset has performed over time, its volatility, and the efficiency of its returns relative to risk. Performance indicators help assess the stability, risk, and reward of an investment, allowing investors and portfolio managers to make comparisons and strategize accordingly.

Asset Technical Analysis

Technical analysis involves evaluating an asset's price and volume data to forecast future movements and make informed trading decisions. By using various technical indicators and chart patterns, investors can gain insights into market trends, price momentum, and potential turning points. This section delves into essential technical metrics, including moving averages, pivot points, and other indicators that provide a snapshot of an asset's current technical stance. Analyzing these indicators helps investors identify entry and exit points, assess market sentiment, and refine their trading strategies. Explore the following technical analysis data to understand the asset's performance dynamics and make better-informed decisions.

Moving Averages

Moving Averages are commonly used to smooth out price data and identify trends over a specific period. Here’s a summary of the latest moving averages for various periods:

  • SMA (Simple Moving Average): Reflects the average price over a specific number of periods.
  • EMA (Exponential Moving Average): Gives more weight to recent prices, making it more responsive to new information.
  • WMA (Weighted Moving Average): Assigns a weight to each price, emphasizing more recent prices.
  • WEMA (Weighted Exponential Moving Average): Combines elements of both WMA and EMA for a more responsive moving average.

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Frequently Asked Questions

XLC is managed by State Street Global Advisors. The fund aims to replicate the performance of the Communication Services Select Sector Index by holding the same stocks in similar proportions as the index. Management involves periodic rebalancing to ensure the ETF accurately reflects the index.

XLC includes companies that are part of the communication services sector of the S&P 500. This sector comprises firms involved in telecommunications, media, entertainment, and interactive media. Major holdings often include companies such as Alphabet, Meta (formerly Facebook), and Verizon.

Investors can purchase shares of XLC through a brokerage account, just like other stocks and ETFs. It is traded on the New York Stock Exchange (NYSE) under the ticker symbol "XLC."

Key performance metrics for XLC include its net asset value (NAV), expense ratio, total return, and tracking error. NAV represents the per-share value of the ETF, the expense ratio indicates the cost of managing the fund, total return measures overall performance including dividends, and tracking error shows how closely XLC follows the Communication Services Select Sector Index.

Similar ETFs to XLC include the iShares Global Comm Services ETF (IXP) and other sector-focused ETFs that provide exposure to communication services. These ETFs may have different methodologies or geographic focuses but also target the communication services sector.

XLC typically distributes dividends on a quarterly basis. These dividends are paid from the income generated by the underlying stocks in the ETF’s portfolio.

Yes, investing in XLC carries risks such as sector risk and market risk. Since XLC focuses exclusively on the communication services sector, it is subject to the specific risks and volatility associated with this sector, including regulatory changes and technological disruptions.

Yes, XLC can be held in retirement accounts such as IRAs or 401(k)s. It can be a suitable choice for investors seeking targeted exposure to the communication services sector within a diversified retirement portfolio.

Historically, XLC has shown performance that reflects the trends of the communication services sector. Performance can vary based on the sector’s dynamics, including market conditions and changes in technology and consumer preferences.

As of the latest update, XLC has an expense ratio of approximately 0.12%. This fee is deducted from the fund’s assets and covers the cost of managing the ETF.

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Disclaimers

The information displayed on this site is sourced from third-party providers and is believed to be reliable. RankMyTrade (RMT) has not independently verified this data and does not guarantee its accuracy. The information and calculations provided by RankMyTrade are for educational and informational purposes only and should not be construed as financial or investment advice.

With any investment, your capital is at risk. The value of your portfolio go down as well as up. Past performance is no guarantee of future results. By using this website, you accept our Terms of Service, Privacy Policy, and Payment Agreement.

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