EFAD
MSCI EAFE Dividend Growers ETF
Why Invest in EFAD?
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Focuses exclusively on the companies of the MSCI EAFE Index with the longest records of consistent dividend growth in the developed international markets.
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EFAD is part of the ProShares Dividend Growers ETFs family, domestic and international ETFs that invest in the best dividend growers in their respective categories.
Why Invest in EFAD?
-
Focuses exclusively on the companies of the MSCI EAFE Index with the longest records of consistent dividend growth in the developed international markets.
-
EFAD is part of the ProShares Dividend Growers ETFs family, domestic and international ETFs that invest in the best dividend growers in their respective categories.
Documents & Downloads
You may order paper copies by contacting ProShares Client Services at 866-PRO-5125 (866-776-5125)
Performance
Growth of $10,000
Since Inception
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 |
---|---|---|---|---|---|---|---|---|---|---|
EFAD Market Price | -2.53% | 0.89% | 3.68% | 5.76% | 9.68% | 0.12% | 1.26% | -- | 1.32% | 08/19/2014 |
EFAD NAV | -2.66% | 1.19% | 3.35% | 5.58% | 8.86% | -0.12% | 1.23% | -- | 1.32% | 08/19/2014 |
MSCI EAFE Dividend Masters Index | -2.63% | 1.32% | 3.52% | 5.87% | 9.31% | 0.29% | 1.69% | -- | 1.81% | -- |
Fund + Index | 1m | 3m | 6m | YTD | 1Y | 3Y | 5Y | 10Y | Since Inception | Inception Date |
---|---|---|---|---|---|---|---|---|---|---|
EFAD Market Price | 0.91% | -0.19% | 5.79% | 5.79% | 8.95% | 2.21% | 1.57% | -- | 1.34% | 08/19/2014 |
EFAD NAV | 0.82% | -0.45% | 5.19% | 5.19% | 8.72% | 2.04% | 1.46% | -- | 1.30% | 08/19/2014 |
MSCI EAFE Dividend Masters Index | 0.86% | -0.40% | 5.39% | 5.39% | 9.18% | 2.46% | 1.92% | -- | 1.79% | -- |
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 EFAD
- Intraday Ticker EFAD.IV
- CUSIP 74347B839
- Inception Date 8/19/14
- Expense Ratio 0.50%
- NAV Calculation Time 11:30 a.m. ET
- Distributions Quarterly
Characteristics
as of 7/31/2023- Number of Companies 68
- Price/Earnings Ratio 19.73
- Price/Book Ratio 2.18
Price to book ratio measures market value of a fund or index relative to the collective book values of its component stocks.
- Distribution Yield 4.43%
Distribution Yield represents the annualized yield based on the last income distribution.
- Weighted Avg. Market Cap $43.84 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.
- SEC 30-Day Yield 2.26%
SEC 30-Day Yield is a standard yield calculation developed by the Securities and Exchange Commission (SEC) that facilitates fairer comparisons of funds. The figure reflects dividends and interest earned by the securities held by the fund during the most recent 30-day period, net the fund's expenses.
- Weighted Average Yield to
Maturity -- - Net Effective Duration --
Price
as of 9/28/2023- NAV $34.82
- NAV Change $-0.04
- Market Price $34.83
- Market Price Change $+0.08
- Trading Volume (M) 8,178
- 30-Day Median Bid Ask Spread 0.00%
- View Premium / Discount
Snapshot
- Ticker EFAD
- Intraday Ticker EFAD.IV
- CUSIP 74347B839
- Inception Date 8/19/14
- Unitary Expense Ratio 0.50%
- NAV Calculation Time 11:30 a.m. ET
- Distributions Quarterly
Characteristics
as of 7/31/2023- Number of Companies 68
- Price/Earnings Ratio 19.73
- Price/Book Ratio 2.18
Price to book ratio measures market value of a fund or index relative to the collective book values of its component stocks.
- Distribution Yield 4.43%
Distribution Yield represents the annualized yield based on the last income distribution.
- Weighted Avg. Market Cap $43.84 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.
- SEC 30-Day Yield 2.26%
SEC 30-Day Yield is a standard yield calculation developed by the Securities and Exchange Commission (SEC) that facilitates fairer comparisons of funds. The figure reflects dividends and interest earned by the securities held by the fund during the most recent 30-day period, net the fund's expenses.
- Weighted Average Yield to Maturity --
- Net Effective Duration --
Price
as of 9/28/2023- NAV $34.82
- NAV Change $-0.04
- Market Price $34.83
- Market Price Change $+0.08
- Trading Volume (M) 8,178
- 30-Day Median Bid Ask Spread 0.00%
- View Premium / Discount
Exposures
Index as of 6/30/2023 and Fund as of 9/28/2023
Holdings
as of 9/28/2023
Weight | Ticker | Description | Exposure Value (Notional + GL) |
Market Value | Shares/Contracts | SEDOL Number |
---|---|---|---|---|---|---|
1.70% | 8766 | TOKIO MARINE HOLDINGS INC | -- | $1,493,487.79 | 62,957 | 6513126 |
1.67% | TEL | TELENOR ASA | -- | $1,464,214.67 | 130,845 | 4732495 |
1.63% | 3003 | HULIC CO LTD | -- | $1,430,102.42 | 157,443 | 6805317 |
1.63% | 7532 | PAN PACIFIC INTERNATIONAL HO | -- | $1,429,989.73 | 68,803 | 6269861 |
1.62% | REL | RELX PLC | -- | $1,425,119.85 | 42,271 | B2B0DG9 |
1.62% | PGHN | PARTNERS GROUP HOLDING AG | -- | $1,424,893.35 | 1,276 | B119QG0 |
1.59% | 9719 | SCSK CORP | -- | $1,399,214.46 | 79,572 | 6858474 |
1.59% | GIVN | GIVAUDAN-REG | -- | $1,394,349.46 | 429 | 5980613 |
1.58% | 4507 | SHIONOGI & CO LTD | -- | $1,387,499.05 | 30,989 | 6804682 |
1.57% | BNZL | BUNZL PLC | -- | $1,380,256.95 | 38,913 | B0744B3 |
1.56% | 4021 | NISSAN CHEMICAL CORP | -- | $1,370,379.33 | 32,089 | 6641588 |
1.55% | BA/ | BAE SYSTEMS PLC | -- | $1,355,751.20 | 109,131 | 0263494 |
1.54% | 9843 | NITORI HOLDINGS CO LTD | -- | $1,355,481.94 | 12,115 | 6644800 |
1.54% | WKL | WOLTERS KLUWER | -- | $1,351,599.40 | 11,239 | 5671519 |
1.54% | 9435 | HIKARI TSUSHIN INC | -- | $1,348,623.75 | 8,739 | 6416322 |
1.52% | NOVOB | NOVO NORDISK A/S-B | -- | $1,336,616.10 | 14,485 | BP6KMJ1 |
1.52% | NOVN | NOVARTIS AG-REG | -- | $1,334,975.15 | 13,057 | 7103065 |
1.52% | SOL | WASHINGTON H. SOUL PATTINSON | -- | $1,331,275.83 | 65,009 | 6821807 |
1.51% | SAN | SANOFI | -- | $1,322,320.97 | 12,424 | 5671735 |
1.50% | ENG | ENAGAS SA | -- | $1,320,044.79 | 80,211 | 7383072 |
1.50% | 6981 | MURATA MANUFACTURING CO LTD | -- | $1,316,610.63 | 73,257 | 6610403 |
1.50% | BNR | BRENNTAG SE | -- | $1,315,464.91 | 17,013 | B4YVF56 |
1.50% | 6823 | HKT TRUST AND HKT LTD-SS | -- | $1,315,215.17 | 1,263,244 | B4TXDZ3 |
1.50% | GEBN | GEBERIT AG-REG | -- | $1,314,808.14 | 2,662 | B1WGG93 |
1.50% | 3626 | TIS INC | -- | $1,314,743.28 | 59,412 | B2Q4CR0 |
1.50% | SY1 | SYMRISE AG | -- | $1,314,242.62 | 13,883 | B1JB4K8 |
1.50% | 1038 | CK INFRASTRUCTURE HOLDINGS L | -- | $1,313,280.26 | 275,981 | BYVS6J1 |
1.49% | 8953 | JAPAN METROPOLITAN FUND INVE | -- | $1,310,674.39 | 2,027 | 6513342 |
1.49% | NG/ | NATIONAL GRID PLC | -- | $1,306,249.99 | 110,815 | BDR05C0 |
1.49% | LGEN | LEGAL & GENERAL GROUP PLC | -- | $1,305,157.96 | 482,426 | 0560399 |
1.49% | BC8 | BECHTLE AG | -- | $1,302,920.51 | 28,091 | 5932409 |
1.48% | 823 | LINK REIT | -- | $1,302,703.51 | 275,981 | B0PB4M7 |
1.48% | DSV | DSV A/S | -- | $1,302,205.91 | 6,989 | B1WT5G2 |
1.48% | 4204 | SEKISUI CHEMICAL CO LTD | -- | $1,299,926.60 | 89,268 | 6793821 |
1.48% | 3141 | WELCIA HOLDINGS CO LTD | -- | $1,298,545.57 | 74,657 | B3CF1G6 |
1.48% | FRE | FRESENIUS SE & CO KGAA | -- | $1,298,180.56 | 41,945 | 4352097 |
1.47% | UU/ | UNITED UTILITIES GROUP PLC | -- | $1,293,161.09 | 116,376 | B39J2M4 |
1.47% | 4452 | KAO CORP | -- | $1,288,137.76 | 34,426 | 6483809 |
1.45% | 669 | TECHTRONIC INDUSTRIES CO LTD | -- | $1,269,048.57 | 133,075 | B0190C7 |
1.44% | LISP | CHOCOLADEFABRIKEN LINDT-PC | -- | $1,267,252.20 | 115 | 5962280 |
1.44% | NESN | NESTLE SA-REG | -- | $1,266,616.99 | 11,282 | 7123870 |
1.44% | 1972 | SWIRE PROPERTIES LTD | -- | $1,264,527.12 | 623,341 | B67C2G0 |
1.44% | CSL | CSL LTD | -- | $1,262,868.42 | 7,815 | 6185495 |
1.43% | ROG | ROCHE HOLDING AG-GENUSSCHEIN | -- | $1,258,920.63 | 4,621 | 7110388 |
1.43% | SAP | SAP SE | -- | $1,258,427.62 | 9,807 | 4846288 |
1.43% | 6370 | KURITA WATER INDUSTRIES LTD | -- | $1,256,134.94 | 36,040 | 6497963 |
1.42% | 1299 | AIA GROUP LTD | -- | $1,246,983.59 | 155,188 | B4TX8S1 |
1.41% | 4684 | OBIC CO LTD | -- | $1,240,237.49 | 8,084 | 6136749 |
1.41% | UCB | UCB SA | -- | $1,237,413.42 | 15,038 | 5596991 |
1.41% | SHL | SONIC HEALTHCARE LTD | -- | $1,233,867.64 | 64,666 | 6821120 |
1.40% | 4967 | KOBAYASHI PHARMACEUTICAL CO | -- | $1,231,875.44 | 27,168 | 6149457 |
1.40% | SPX | SPIRAX-SARCO ENGINEERING PLC | -- | $1,227,335.77 | 10,684 | BWFGQN1 |
1.40% | WDP | WAREHOUSES DE PAUW SCA | -- | $1,226,025.79 | 50,729 | BK8VQD9 |
1.40% | SOF | SOFINA | -- | $1,224,531.95 | 6,079 | 4820301 |
1.39% | DIA | DIASORIN SPA | -- | $1,223,382.97 | 13,703 | B234WN9 |
1.38% | AHT | ASHTEAD GROUP PLC | -- | $1,211,227.05 | 19,617 | 0053673 |
1.38% | 8113 | UNICHARM CORP | -- | $1,210,854.28 | 33,971 | 6911485 |
1.38% | 4503 | ASTELLAS PHARMA INC | -- | $1,209,544.90 | 86,480 | 6985383 |
1.38% | APA | APA GROUP | -- | $1,208,932.64 | 227,177 | 6247306 |
1.38% | SIKA | SIKA AG-REG | -- | $1,208,726.42 | 4,798 | BF2DSG3 |
1.37% | HLMA | HALMA PLC | -- | $1,205,611.56 | 51,641 | 0405207 |
1.37% | FME | FRESENIUS MEDICAL CARE AG & | -- | $1,204,447.14 | 27,811 | 5129074 |
1.36% | COLOB | COLOPLAST-B | -- | $1,193,972.25 | 11,361 | B8FMRX8 |
1.36% | DGE | DIAGEO PLC | -- | $1,189,238.37 | 32,093 | 0237400 |
1.36% | ASML | ASML HOLDING NV | -- | $1,189,219.73 | 2,044 | B929F46 |
1.35% | KYGA | KERRY GROUP PLC-A | -- | $1,187,882.27 | 14,601 | 4519579 |
1.32% | CRDA | CRODA INTERNATIONAL PLC | -- | $1,155,987.03 | 20,113 | BJFFLV0 |
-- | -- | NET OTHER ASSETS (LIABILITIES) | -- | $995,848.03 | 995,848 | -- |
Index
as of 6/30/2023
- Total Number of Companies68
- Price/Earnings Ratio19.575
- Price/Book Ratio2.17
- Dividend Yield ( % )2.80
- Avg. Index Market Capitalization$43.09 billion
About the Index
The index includes companies that are currently members of the MSCI EAFE, and have increased dividend payments each year for at least 10 years. The index contains a minimum of 40 stocks, which are equally weighted. Generally, no single sector is allowed to comprise more than 30% of an index's weight, and no single country is allowed to comprise more than 50% of the index weight. If there are fewer than 40 stocks with at least 10 consecutive years of dividend growth, or if sector or country caps are breached, the index will include companies with shorter dividend growth histories. The index is rebalanced each February, May, August and November, with an annual reconstitution during the November rebalance.
Distributions
For
- 2023
- 2022
- 2021
- 2020
- 2019
- 2018
- 2017
- 2016
- 2015
- 2014
Ex-Dividend Date | Record Date | Payable Date | Dividend | Long-Term Capital Gain | Short-Term Capital Gain | Return of Capital |
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