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BOE

BlackRock Enhanced Global Dividend Trust
1W: -2.9% 1M: -8.9% 3M: -5.8% YTD: -7.0% 1Y: +3.7% 3Y: +40.9% 5Y: +34.2%
$10.84
-0.16 (-1.45%)
After Hours: $10.98 (+0.14, +1.34%)
ETF NYSE · AUM $602.7M
ETF-Level Metrics
AUM$603M
Holdings49
Top 10 Wt35.0%
Beta0.80
% Profitable29%
Coverage101%
Portfolio Valuation
P/E63.6
P/B10.5
P/S6.7
EV/EBITDA11.4
P/FCF107.3
PEG2.89
Profitability & Returns
Gross Margin25.8%
Net Margin10.6%
ROE17.4%
ROA9.5%
ROIC18.0%
Div Yield2.23%
Leverage & Liquidity
Debt/Equity0.26
Debt/Assets0.14
Net Debt/EBITDA-0.6x
Interest Cov66.1x
Current Ratio1.57
Quick Ratio1.21
Growth (YoY)
Revenue+10.6%
Net Income+26.2%
EPS+33.6%
FCF+11.3%
EBITDA+11.0%
Rev CAGR 3Y+10.4%
Quality Scores
Piotroski F7.2
Altman Z5.24
IS Quality78.2
IS Overall61.0
IS Value50.7
Median P/E24.5

Sector Breakdown

11 sectors
Sector # Holdings Total Weight % Avg P/E
Technology 10 28.4% 29.8
Financial Services 9 14.4% 18.5
Industrials 7 12.5% 28.9
Consumer Defensive 4 8.6% 28.0
Healthcare 4 8.6% 16.9
Consumer Cyclical 5 8.2% 19.0
Communication Services 4 8.1% 23.6
Energy 3 4.7% 23.9
Basic Materials 2 4.3% 23.2
Utilities 1 3.0% 20.9
Other 118 0.6%

Smart Money Overlap

5 holdings with signals
Symbol Company Weight % Signals Badge Insider Buys Congress Since Signal
MSFT Microsoft Corporation 5.55% 4 Bullish 1 23 -5.0%
AVGO Broadcom Inc. 4.40% 4 Bullish 1 11 -3.5%
WMT Walmart Inc. 2.51% 4 Bullish 21 3 -1.1%
WMB The Williams Companies, Inc. 2.15% 4 Bullish 12 1 -0.3%
SCHW The Charles Schwab Corporation 1.53% 4 Bullish 13 3 -0.9%
Showing 50 of 167 holdings · Page 1 of 4
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 Microsoft Corp MSFT 5.55% $39.7M 76,577 23.8 $2.8T Technology
2 Broadcom Inc AVGO 4.40% $31.5M 95,427 59.0 $1.5T Technology
3 Alphabet Inc GOOGL.SW 3.98% $28.5M 117,090 27.5 $2.9T Technology
4 Taiwan Semiconductor Manufacturing Co Ltd 2330.TW 3.80% $828.8M 626,000 27.8 $47.7T Technology
5 Alibaba Group Holding Ltd BABA 3.55% $25.4M 141,873 22.3 $284.3B Consumer Cyclical
6 AstraZeneca PLC ZEG.DE 3.03% $16.1M 141,239 27.7 $249.2B Healthcare
7 CMS Energy Corp CMSD 3.01% $21.5M 293,639 20.9 $6.9B Utilities
8 Coca-Cola Co/The KO 2.66% $19.0M 287,138 24.5 $321.5B Consumer Defensive
9 Apple Inc AAPL.NE 2.54% $18.2M 71,432 31.1 $4.9T Technology
10 Walmart Inc WMT 2.51% $17.9M 173,813 43.3 $948.9B Consumer Defensive
11 Parker-Hannifin Corp PH 2.23% $15.9M 21,019 31.9 $112.9B Industrials
12 RELX PLC REN.AS 2.21% $13.4M 329,283 22.0 $51.5B Communication Services
13 Allegion plc 0Y5C.L 2.21% $15.8M 88,984 19.0 $13.3B Basic Materials
14 Williams Cos Inc/The WMB 2.15% $15.4M 242,828 33.8 $88.5B Energy
15 UnitedHealth Group Inc UNH.BA 2.12% $15.1M 43,785 20.8 $368.5T Healthcare
16 Colgate-Palmolive Co CL 2.10% $15.0M 188,214 32.1 $68.2B Consumer Defensive
17 Union Pacific Corp UNP.DE 2.05% $14.7M 62,049 19.5 $120.4B Industrials
18 Air Liquide SA AI.VI 2.05% $12.5M 70,330 27.4 $96.5B Basic Materials
19 Koninklijke KPN NV KPN.AS 2.04% $12.4M 3,031,314 22.8 $17.9B Communication Services
20 Novo Nordisk A/S NOVO-B.CO 1.99% $90.6M 255,946 10.3 $1.1T Healthcare
21 Zurich Insurance Group AG ZFSVF 1.98% $11.3M 19,779 11.9 $100.4B Financial Services
22 Banco Bilbao Vizcaya Argentaria SA BOY.DE 1.94% $11.8M 720,314 10.3 $102.0B Financial Services
23 TELUS Corp T.TO 1.94% $19.3M 878,592 24.9 $28.2B Communication Services
24 Hubbell Inc HUBB 1.90% $13.6M 31,605 28.3 $25.3B Industrials
25 Meta Platforms Inc META 1.90% $13.6M 18,518 24.8 $1.5T Communication Services
26 Citizens Financial Group Inc CFG 1.77% $12.7M 238,095 13.4 $24.5B Financial Services
27 Intercontinental Exchange Inc ICE 1.77% $12.7M 75,097 27.4 $90.3B Financial Services
28 MediaTek Inc 2454.TW 1.74% $378.0M 286,000 25.8 $2.7T Technology
29 Otis Worldwide Corp OTIS 1.73% $12.4M 135,156 22.6 $31.0B Industrials
30 BAE Systems PLC BA.L 1.69% $9.0M 434,178 32.7 $65.6B Industrials
31 Oracle Corp ORCL 1.64% $11.7M 41,762 26.4 $430.3B Technology
32 General Electric Co GEC.L 1.62% $11.6M 38,456 35.2 $259.9B Industrials
33 Applied Materials Inc AMAT 1.59% $11.4M 55,539 36.1 $283.4B Technology
34 SAP SE SAP.DE 1.56% $9.5M 41,666 24.5 $179.6B Technology
35 Shell PLC SHELL.AS 1.54% $9.4M 306,689 14.7 $222.8B Energy
36 Accenture PLC 0Y0Y.L 1.54% $11.0M 44,556 16.1 $126.4B Technology
37 Charles Schwab Corp/The SCHW 1.53% $10.9M 114,584 18.9 $168.2B Financial Services
38 Assurant Inc AIZ 1.53% $10.9M 50,499 12.2 $10.7B Financial Services
39 Sanofi SA SNYNF 1.48% $9.0M 111,560 8.9 $107.2B Healthcare
40 M&T Bank Corp MTB 1.47% $10.5M 53,051 11.3 $29.5B Financial Services
41 BlackRock Funds III Private 1.39% $10.0M 9,954,472
42 Moody's Corp MCO 1.39% $9.9M 20,881 31.5 $77.1B Financial Services
43 British American Tobacco PLC BMT.DE 1.37% $7.3M 183,513 12.1 $107.7B Consumer Defensive
44 Honda Motor Co Ltd 7267.T 1.35% $1.4B 937,500 10.2 $5.1T Consumer Cyclical
45 Taylor Wimpey PLC TWODF 1.32% $7.0M 6,771,171 31.0 $4.2B Consumer Cyclical
46 Republic Services Inc RSG 1.29% $9.2M 40,201 31.7 $67.9B Industrials
47 Home Depot Inc/The HD 1.06% $7.6M 18,637 22.5 $319.3B Consumer Cyclical
48 Baker Hughes Co 68V.DE 1.04% $7.4M 152,275 23.0 $51.3B Energy
49 Mastercard Inc MA.NE 1.03% $7.4M 12,977 29.7 $586.5B Financial Services
50 Kia Corp 000270.KS 0.91% $9.1B 90,857 8.7 $65.1T Consumer Cyclical

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