SMDV

Russell 2000 Dividend Growers ETF

SMDV invests in quality U.S. small-cap companies that have not only paid but grown dividends for 10+ years.*

How to Buy
Why SMDV?
Stability & Strength

SMDV invests in small-cap companies that have generally exhibited stable earnings, solid fundamentals, and strong histories of profitability and growth.

Weathering the Storm

Historically, SMDV has captured a significant portion of the gains from rising markets and fewer of the losses in falling markets.

Unique Offering

SMDV is the only ETF focused exclusively on dividend growers in the Russell 2000, which are high-quality companies that have increased their dividends for at least 10 consecutive years.

Performance

Growth of $10,000

Chart is updated nightly to reflect the more recent of the previous day's market closing price or the closing price on the day the fund was last traded.

Total Return

Fund + Index 1m 3m 6m YTD 1Y 3Y 5Y 10Y Since Inception Inception Date
SMDV NAV -1.49% 5.42% 7.02% 16.37% 14.06% 10.98% 6.25% 7.28% 8.09% 02/03/2015
SMDV Market Price -1.52% 5.34% 6.97% 16.31% 14.08% 10.96% 6.23% 7.27% 8.09% 02/03/2015
Russell 2000® Dividend Growth Index -1.46% 5.56% 7.25% 16.72% 14.55% 11.41% 6.66% 7.74% 8.55% --

The performance quoted represents past performance and does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor's shares, when sold or redeemed, may be worth more or less than the original cost. Shares are bought and sold at market price (not NAV) and are not individually redeemed from the fund. Market price returns are based upon the midpoint of the bid/ask spread at 4:00 p.m. ET (when NAV is normally determined for most funds) and do not represent the returns you would receive if you traded shares at other times. Your brokerage commissions will reduce returns. Current performance may be lower or higher than the performance quoted. For standardized returns and performance data current to the most recent month end, see above.

About the Fund

Snapshot
  • Ticker
    SMDV
  • Intraday Ticker
    SMDV.IV
  • CUSIP
    74347B698
  • Inception Date
    2/3/15
  • Net Assets
    $676,478,705
  • Expense Ratio
    0.40%
  • NAV Calculation Time
    4:00 p.m. ET
  • Options Available
    Yes
Characteristics
as of 8/31/2026
  • Number of Holdings
    102
  • Price/Earnings Ratio
    26.006
  • Price/Book Ratio
    1.653

    Price to book ratio measures market value of a fund or index relative to the collective book values of its component stocks.

  • Avg. Market Cap
    $0.01 billion

    Weighted average market cap is the average market value of a fund or index, weighted for the market capitalization (price times shares outstanding) of each component. In such a weighting scheme, larger market cap companies carry greater weight than smaller market cap companies.

Price
as of 9/18/2026
  • NAV
    $74.01
  • NAV Change
    $-0.34 down caret
  • Market Price
    $73.98
  • Market Price Change
    $-0.36 down caret
  • Trading Volume (M)
    36,375
  • 30-Day Median Bid Ask Spread
    0.05%
  • View Premium / Discount
Distributions
as of 8/31/2026
  • Distribution Frequency
    Quarterly
  • 12-Month Yield
    2.32%

    12-Month Yield represents the sum of the funds dividends for the last 12 months divided by the sum of the last month's NAV and any capital gain distributions made over the past 12 months.

  • Distribution Details
Snapshot
  • Ticker
    SMDV
  • Intraday Ticker
    SMDV.IV
  • CUSIP
    74347B698
  • Inception Date
    2/3/15
  • Net Assets
    $676,478,705
  • Expense Ratio
    0.40%
  • NAV Calculation Time
    4:00 p.m. ET
  • Options Available
    Yes
Characteristics
as of 8/31/2026
  • Number of Holdings
    102
  • Price/Earnings Ratio
    26.006
  • Price/Book Ratio
    1.653

    Price to book ratio measures market value of a fund or index relative to the collective book values of its component stocks.

  • Avg. Market Cap
    $0.01 billion

    Weighted average market cap is the average market value of a fund or index, weighted for the market capitalization (price times shares outstanding) of each component. In such a weighting scheme, larger market cap companies carry greater weight than smaller market cap companies.

Price
as of 9/18/2026
  • NAV
    $74.01
  • NAV Change
    $-0.34 down caret
  • Market Price
    $73.98
  • Market Price Change
    $-0.36 down caret
  • Trading Volume (M)
    36,375
  • 30-Day Median Bid Ask Spread
    0.05%
  • View Premium / Discount
Distributions
as of 8/31/2026
  • Distribution Frequency
    Quarterly
  • 12-Month Yield
    2.32%

    12-Month Yield represents the sum of the funds dividends for the last 12 months divided by the sum of the last month's NAV and any capital gain distributions made over the past 12 months.

  • Distribution Details

Exposures

Index as of 6/30/2026 and Fund as of 9/18/2026

Holdings

as of 9/18/2026

Weight Ticker Description Exposure Value
(Notional + GL)
Market Value Shares/Contracts SEDOL Number
1.10% ABM ABM INDUSTRIES INC -- $7,422,697.80 149,140 2024901
1.09% MATX MATSON INC -- $7,381,467.72 31,691 B8GNC91
1.09% MTRN MATERION CORP -- $7,365,049.93 29,281 2149622
1.07% GIC GLOBAL INDUSTRIAL CO -- $7,261,454.64 179,828 BNBY595
1.05% PFBC PREFERRED BANK/LOS ANGELES -- $7,123,545.66 67,573 2763602
1.05% MGRC MCGRATH RENTCORP -- $7,107,383.66 64,094 2551551
1.05% TMP TOMPKINS FINANCIAL CORP -- $7,090,293.16 71,374 2888613
1.05% TXNM TXNM ENERGY INC -- $7,080,239.76 121,154 2707826
1.05% GATX GATX CORP -- $7,066,858.14 39,726 2362128
1.04% ANDE ANDERSONS INC/THE -- $7,053,990.35 101,365 2274922
1.04% STBA S & T BANCORP INC -- $7,052,346.73 140,569 2781109
1.04% IOSP INNOSPEC INC -- $7,046,145.45 75,643 2245597
1.04% MSBI MIDLAND STATES BANCORP INC -- $7,045,982.58 210,077 B6VRG58
1.04% TRNO TERRENO REALTY CORP -- $7,038,537.50 107,050 B3N4753
1.04% NBTB N B T BANCORP INC -- $7,027,509.30 136,430 2626459
1.04% ODC OIL-DRI CORP OF AMERICA -- $7,023,297.60 79,020 2657794
1.04% POWI POWER INTEGRATIONS INC -- $7,023,005.47 139,373 2133045
1.04% BHB BAR HARBOR BANKSHARES -- $7,019,323.20 175,264 2618111
1.04% TRN TRINITY INDUSTRIES INC -- $7,016,324.00 250,583 2904627
1.04% SFNC SIMMONS FIRST NATL CORP-CL A -- $7,016,288.58 306,522 2810133
1.04% LKFN LAKELAND FINANCIAL CORP -- $7,005,138.30 117,339 2537528
1.04% CPK CHESAPEAKE UTILITIES CORP -- $6,998,087.08 53,266 2190750
1.04% PEBO PEOPLES BANCORP INC -- $6,995,939.73 177,607 2679419
1.04% HOMB HOME BANCSHARES INC -- $6,994,572.84 234,796 B17MTL9
1.03% NJR NEW JERSEY RESOURCES CORP -- $6,991,425.04 131,122 2630513
1.03% INDB INDEPENDENT BANK CORP/MA -- $6,989,495.36 84,989 2447821
1.03% SCL STEPAN CO -- $6,987,427.72 112,919 2845005
1.03% NPO ENPRO INC -- $6,977,587.50 23,855 2951292
1.03% ORRF ORRSTOWN FINL SERVICES INC -- $6,977,543.70 165,895 B019FW2
1.03% UBSI UNITED BANKSHARES INC -- $6,972,845.32 148,012 2905794
1.03% BUSE FIRST BUSEY CORP -- $6,961,229.44 229,592 BZ1LBM5
1.02% HY HYSTER-YALE INC -- $6,924,131.76 206,444 B7LG306
1.02% EIG EMPLOYERS HOLDINGS INC -- $6,913,976.36 141,188 B1Q1RR9
1.02% ALRS ALERUS FINANCIAL CORP -- $6,913,001.00 211,084 2679141
1.02% FULT FULTON FINANCIAL CORP -- $6,905,199.60 295,094 2356585
1.02% UCB UNITED COMMUNITY BANKS/GA -- $6,904,558.84 199,036 2862156
1.02% LMAT LEMAITRE VASCULAR INC -- $6,902,071.44 87,512 B1G6TJ0
1.02% CTBI COMMUNITY TRUST BANCORP INC -- $6,902,037.00 90,900 2706470
1.02% OTTR OTTER TAIL CORP -- $6,897,875.10 78,905 2664103
1.02% IBCP INDEPENDENT BANK CORP - MICH -- $6,895,438.52 190,324 2492133
1.02% NWN NORTHWEST NATURAL HOLDING CO -- $6,894,105.78 142,617 BFNR303
1.02% CASS CASS INFORMATION SYSTEMS INC -- $6,881,693.84 125,716 2086558
1.02% AGM FEDERAL AGRIC MTG CORP-CL C -- $6,880,955.36 31,144 2363381
1.02% BMI BADGER METER INC -- $6,874,976.60 51,785 2069128
1.02% GRC GORMAN-RUPP CO -- $6,870,337.25 93,793 2379281
1.02% EXPO EXPONENT INC -- $6,867,906.50 100,555 2330318
1.01% BCPC BALCHEM CORP -- $6,851,555.75 41,015 2072074
1.01% ALG ALAMO GROUP INC -- $6,842,982.30 41,062 2021634
1.01% FRME FIRST MERCHANTS CORP -- $6,838,082.31 167,313 2342410
1.01% HTO H2O AMERICA -- $6,837,673.02 109,106 2811932
1.01% MATW MATTHEWS INTL CORP-CLASS A -- $6,836,899.84 333,833 2568090
1.01% UTL UNITIL CORP -- $6,809,152.24 131,147 2925037
1.01% NWE NORTHWESTERN ENERGY GROUP IN -- $6,802,426.03 99,349 B03PGL4
1.01% HFWA HERITAGE FINANCIAL CORP -- $6,793,254.39 240,981 2619880
1.00% APOG APOGEE ENTERPRISES INC -- $6,787,502.40 184,443 2046176
1.00% AVA AVISTA CORP -- $6,785,565.00 187,188 2942605
1.00% KWR QUAKER CHEMICAL CORPORATION -- $6,784,133.86 43,933 2715186
1.00% FELE FRANKLIN ELECTRIC CO INC -- $6,777,103.07 70,957 2350383
1.00% BKH BLACK HILLS CORP -- $6,770,033.65 96,097 2101741
1.00% POR PORTLAND GENERAL ELECTRIC CO -- $6,767,366.20 143,255 B125XQ6
1.00% UVV UNIVERSAL CORP/VA -- $6,760,526.54 153,161 2923804
1.00% ASB ASSOCIATED BANC-CORP -- $6,759,039.44 227,884 2055718
1.00% TNC TENNANT CO -- $6,749,503.40 100,141 2883641
1.00% CRAI CRA INTERNATIONAL INC -- $6,749,323.18 40,811 2240622
1.00% SHOE SHOE STATION GROUP INC -- $6,744,577.45 516,035 2805474
1.00% AUB ATLANTIC UNION BANKSHARES CO -- $6,743,252.13 172,771 BFZ9DB8
1.00% HNI HNI CORP -- $6,734,273.28 146,048 2435246
1.00% MGEE MGE ENERGY INC -- $6,724,389.76 90,772 2554163
1.00% AWR AMERICAN STATES WATER CO -- $6,723,320.47 78,571 2267171
0.99% GFF GRIFFON CORP -- $6,717,433.20 72,060 2463344
0.99% WSBC WESBANCO INC -- $6,713,057.44 170,512 2953782
0.99% YORW YORK WATER CO -- $6,705,438.18 205,122 2425292
0.99% SR SPIRE INC -- $6,697,311.90 84,530 BYXJQG9
0.99% PRGO PERRIGO CO PLC -- $6,693,405.84 493,614 BGH1M56
0.99% WLY WILEY (JOHN) & SONS-CLASS A -- $6,687,920.20 139,042 2965668
0.99% CTRE CARETRUST REIT INC -- $6,675,775.74 177,831 BMP8TL6
0.99% MSEX MIDDLESEX WATER CO -- $6,663,238.68 120,449 2589466
0.99% MZTI MARZETTI COMPANY/THE -- $6,662,465.76 66,678 2503206
0.99% SXI STANDEX INTERNATIONAL CORP -- $6,657,459.27 25,487 2840174
0.98% AVNT AVIENT CORP -- $6,625,295.80 164,155 BMHWY55
0.98% CWT CALIFORNIA WATER SERVICE GRP -- $6,604,772.00 139,400 2165383
0.98% LNN LINDSAY CORP -- $6,601,208.81 57,337 2516613
0.98% AMSF AMERISAFE INC -- $6,591,414.12 267,726 B0PPHS6
0.97% CNS COHEN & STEERS INC -- $6,580,149.46 89,174 B02H882
0.97% OGS ONE GAS INC -- $6,575,967.02 87,458 BJ0KXV4
0.97% HMN HORACE MANN EDUCATORS -- $6,562,359.96 135,642 2437112
0.97% GOLF ACUSHNET HOLDINGS CORP -- $6,552,500.85 81,347 BD3WG50
0.96% HASI HA SUSTAINABLE INFRASTRUCTUR -- $6,494,010.92 176,804 B9HHD96
0.96% FUL H.B. FULLER CO. -- $6,484,766.04 131,244 2354664
0.96% MWA MUELLER WATER PRODUCTS INC-A -- $6,454,433.70 294,723 B15RZR4
0.95% FCPT FOUR CORNERS PROPERTY TRUST -- $6,396,325.26 282,773 BZ16HK0
0.95% GTY GETTY REALTY CORP -- $6,394,503.96 215,739 2698146
0.95% JJSF J & J SNACK FOODS CORP -- $6,389,095.71 81,943 2469171
0.94% WAFD WAFD INC -- $6,341,055.08 195,772 2941981
0.94% WDFC WD-40 CO -- $6,335,347.01 33,469 2944742
0.93% KAI KADANT INC -- $6,286,336.32 23,672 2769978
0.93% NXRT NEXPOINT RESIDENTIAL -- $6,253,298.40 297,210 BWC6PW6
0.92% PII POLARIS INC -- $6,234,433.21 115,303 2692933
0.84% SAH SONIC AUTOMOTIVE INC-CLASS A -- $5,646,132.72 88,692 2125246
-- -- NET OTHER ASSETS (LIABILITIES) -- $1,918,583.82 1,918,584 --

Index

as of 6/30/2026

  • Total Number of Holdings100
  • Price/Earnings Ratio19.33
  • Price/Book Ratio1.80
  • Dividend Yield ( % )3.05
  • Avg. Index Market Capitalization$3.00 billion
About the Index

The Russell 2000 Dividend Growth Index is designed to measure the performance of companies in the Russell 2000 Index that have consistently increased dividends each year for at least the last 10 years.

Distributions

Ex-Dividend Date Record Date Payable Date Dividend Long-Term Capital Gain Short-Term Capital Gain Return of Capital
Get the latest perspectives and updates.

*If fewer than 40 stocks meet criteria, the index may include companies with shorter dividend growth histories. Special dividend payments ore not token into consideration. There is no guarantee dividends will be paid. Companies may reduce or eliminate dividends at any time, and those that do will be dropped from the index at reconstitution.

For the total return table above, since inception returns are cumulative for funds less than one year old; otherwise, returns are annualized. Market returns are based on the composite closing price and do not represent the returns you would receive if you traded shares at other times. The listing date is typically one or more days after the fund inception date. Therefore, NAV is used to calculate market returns prior to the listing date.

The expense ratio for certain funds includes a contractual fee waiver that results in a lower net expense ratio for some or all periods shown. For information about this ETF’s fees, please see above.

Holdings are subject to change.

Registered Investment Companies are required by the IRS to distribute substantially all of their income and capital gains to shareholders at least annually. For specific tax advice, we recommend you speak with a qualified tax professional.

The performance quoted represents past performance and does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor's shares, when sold or redeemed, may be worth more or less than the original cost. Shares are bought and sold at market price (not NAV) and are not individually redeemed from the fund. Market price returns are based upon the midpoint of the bid/ask spread at 4:00 p.m. ET (when NAV is normally determined for most funds) and do not represent the returns you would receive if you traded shares at other times. Your brokerage commissions will reduce returns. Current performance may be lower or higher than the performance quoted. For standardized returns and performance data current to the most recent month end, see above.

There is no guarantee that capital gain distributions will not be made in the future. There is no guarantee that dividends or interest income will be paid.

Index information does not reflect any management fees, transaction costs or expenses. Indexes are unmanaged, and one cannot invest directly in an index.

Investing involves risk, including the possible loss of principal. This ProShares ETF is subject to certain risks, including the risk that the fund may not track the performance of the index and that the fund’s market price may fluctuate, which may decrease performance. Please see their summary and full prospectuses for a more complete description of risks. There is no guarantee any ProShares ETF will achieve its investment objective.

There is no guarantee any ProShares ETF will achieve its investment objective.

Shares of any ETF are generally bought and sold at market price (not NAV) and are not individually redeemed from the fund. Your brokerage commissions will reduce returns.

Investments in smaller companies typically exhibit higher volatility. Small- and mid-cap companies may have limited product lines or resources, may be dependent upon a particular market niche and may have greater fluctuations in price than the stocks of larger companies. Small- and mid-cap companies may lack the financial and personnel resources to handle economic or industry-wide setbacks and, as a result, such setbacks could have a greater effect on small- and mid-cap security prices.

Carefully consider the investment objectives, risks, charges and expenses of ProShares before investing. This and other information can be found in their summary and full prospectuses. Read them carefully before investing.

The "Russell 2000® Dividend Growth Index" and "Russell®" are trademarks of Russell Investment Group ("Russell") and have been licensed for use by ProShares. ProShares have not been passed on by Russell as to their legality or suitability. ProShares based on the Russell 2000 Dividend Growth Index are not sponsored, endorsed, sold, or promoted by Russell, and it makes no representation regarding the advisability of investing in ProShares. THIS ENTITY AND ITS AFFILIATES MAKE NO WARRANTIES AND BEAR NO LIABILITY WITH RESPECT TO PROSHARES.

Quote data provided by Interactive Data - Real Time Services, Inc. and subject to terms of use.

ProShares are distributed by SEI Investments Distribution Co., which is not affiliated with the funds’ advisor or sponsor.

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