Distillate US Fundamental Stability & Value ETF (DSTL) focuses on strong balance sheets, stable cash flows, and attractive valuations, offering downside protection but mixed performance in risk-on environments. DSTL is well-positioned for defensive exposure with significant allocations to healthcare and industrials, while underweight in technology and financial services, reflecting a value-oriented strategy. The fund trades at a substantial valuation discount to the Russell 1000, driven by lower exposure to high-multiple sectors like technology.
Distillate U.S. Fundamental Stability & Value ETF holds 100 stocks with a focus on free cash flow and low debt. DSTL features attractive valuation metrics, high dividend growth rate and good performance compared to competitors. DSTL is a compelling equity ETF for investors willing to avoid concentration in the tech industry and mega-caps.
The Distillate U.S. Fundamental Stability & Value ETF blends primary and peripheral factors to optimize value-investing. The fund's methodology focuses on high-quality value stocks with high free cash flow yields, low debt, and stable cash flows. DSTL has historically outperformed the SPDR S&P 500 ETF Trust, illustrating its ability to generate excess returns.
![]() DSTL In 2 weeks Estimated | Quarterly | $0.21 Per Share |
![]() DSTL 2 months ago Paid | Quarterly | $0.21 Per Share |
![]() DSTL 5 months ago Paid | Quarterly | $0.23 Per Share |
![]() DSTL 8 months ago Paid | Quarterly | $0.15 Per Share |
![]() DSTL 11 months ago Paid | Quarterly | $0.2 Per Share |
![]() DSTL 20 Mar 2024 Paid | Quarterly | $0.15 Per Share |
![]() DSTL In 2 weeks Estimated | Quarterly | $0.21 Per Share |
![]() DSTL 2 months ago Paid | Quarterly | $0.21 Per Share |
![]() DSTL 5 months ago Paid | Quarterly | $0.23 Per Share |
![]() DSTL 8 months ago Paid | Quarterly | $0.15 Per Share |
![]() DSTL 11 months ago Paid | Quarterly | $0.2 Per Share |
![]() DSTL 20 Mar 2024 Paid | Quarterly | $0.15 Per Share |
ARCA Exchange | US Country |
The fund introduced is an actively managed exchange-traded fund (ETF) that primarily focuses on investing in U.S.-listed equity securities. The fund's investment strategy is guided by the analysis of fundamental factors such as a company's valuation, cash flow stability, and balance sheet quality. The intention behind this strategy is to identify and invest in securities that offer the potential for sustainable financial performance and growth. As a part of its investment approach, the fund commits at least 80% of its net assets, in addition to borrowings for investment purposes, towards U.S. assets. This commitment emphasizes the fund’s focus on the U.S. market and its confidence in the potential of U.S.-listed equity securities to meet its investment objectives.
The fund offers a specific set of investments focusing on U.S.-listed equity securities, guided by a strategic assessment of fundamental factors: