Dividends paid by U.S. companies rose $7.4 billion in the second quarter. While payout growth is positive, the pace of those increases is slowing.
OUSA is a passively managed ETF tracking the O'Shares U.S. Quality Dividend Index. I have been covering OUSA since 2021, and today I maintain my Hold rating due to its underperformance, low dividend yield, and high expense ratio of 48 bps. Compared to SCHD, OUSA is more expensive but growthier. Its quality characteristics are stronger, yet on the dividend front, it is mostly behind SCHD.
Through the first four months of this year, the White House's often-harsh treatment of U.S. trading partners was a headwind for equity investors. For now, it appears to be on the back burner.
OUSA OUSA In 3 days Estimated | Other | $0.08 Per Share |
OUSA OUSA 3 weeks ago Paid | Other | $0.08 Per Share |
OUSA OUSA 1 month ago Paid | Monthly | $0.05 Per Share |
OUSA OUSA 2 months ago Paid | Monthly | $0.07 Per Share |
OUSA OUSA 3 months ago Paid | Monthly | $0.08 Per Share |
OUSA OUSA 4 months ago Paid | Monthly | $0.05 Per Share |
OUSA OUSA In 3 days Estimated | Other | $0.08 Per Share |
OUSA OUSA 3 weeks ago Paid | Other | $0.08 Per Share |
OUSA OUSA 1 month ago Paid | Monthly | $0.05 Per Share |
OUSA OUSA 2 months ago Paid | Monthly | $0.07 Per Share |
OUSA OUSA 3 months ago Paid | Monthly | $0.08 Per Share |
OUSA OUSA 4 months ago Paid | Monthly | $0.05 Per Share |
BATS Exchange | US Country |
The company operates in the financial industry, focusing on providing investment opportunities that cater to individuals and institutions looking for exposure to the U.S. equity market, emphasizing dividends, quality, and low volatility. It derives its investment strategy from an index created and managed by O'Shares Investment Advisers, LLC. This index is tailored to track the performance of U.S. large-cap and mid-cap dividend-paying companies that satisfy specific criteria, including market capitalization, liquidity, quality standards, low volatility levels, and attractive dividend yields. The company commits to investing at least 80% of its total assets in the securities that comprise the underlying index, ensuring that its portfolio mirrors the desired market segments and performance characteristics outlined by the index provider.
Within its portfolio, the company offers an investment fund that adheres to a distinct approach, incorporating several criteria for selecting investments: