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MDDVX

BlackRock Equity Dividend Fund
1W: -1.9% 1M: -3.5% 3M: -7.7% YTD: +4.3% 1Y: +10.3% 3Y: +33.7% 5Y: +10.7%
$21.89
+0.11 (+0.51%)
 
Weekly Expected Move ±1.2%
$21 $22 $22 $22 $22
ETF NASDAQ · AUM $19.8B

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20 peers by holdings overlap (92 holdings)
MKDVX
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MDFGX
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BDHIX
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DXSN.DE
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Fundamentals Comparison

ETF AUM Holdings Top 10 Wt P/E P/B P/S ROE Net Margin Div Yield Rev Growth EPS Growth IS Score Piotroski
MDDVX $19.8B 59 30.2% 355.3 131.5 77.1 40.1% 21.5% 2.22% +7.8% +19.5% 56.3 6.7
MKDVX $19.8B 59 30.2% 355.3 131.5 77.1 40.1% 21.5% 2.22% +7.8% +19.5% 56.3 6.7
BLCV $113M 54 42.0% 27.2 7.5 5.5 30.9% 20.0% 1.76% +10.0% +29.8% 57.4 6.5
MDRFX $1.1B 64 18.5% 19.6 2.2 1.0 10.2% 4.4% 2.58% +16.4% +22.3% 47.9 6.0
MDLVX $836M 222 23.5% 1870.4 669.2 330.4 36.9% 17.4% 1.82% +9.4% +8.5% 61.3 6.8
BSPAX $60.0B 353 21.1% 2813.0 1421.2 594.2 54.2% 20.9% 1.40% +13.9% +12.5% 65.0 7.1
BSPIX $60.0B 353 21.1% 2813.0 1421.2 594.2 54.2% 20.9% 1.40% +13.9% +12.5% 65.0 7.1
BSPGX $60.9B 353 21.1% 2813.0 1421.2 594.2 54.2% 20.9% 1.40% +13.9% +12.5% 65.0 7.1
BASMX $4.9B 1980 19.0% 2831.5 1407.9 593.1 53.4% 20.8% 1.38% +15.5% +16.0% 62.7 6.8
BIRAX $1.3B 173 20.3% 4120.5 2291.1 808.7 59.9% 19.4% 1.41% +13.4% +9.2% 64.3 7.0
MDLRX $4.0B 59 23.6% 3769.6 1787.2 740.7 50.3% 19.4% 1.35% +11.9% +10.1% 64.8 7.0

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms