HUM.TO

Hamilton U.S. Mid-Cap Financials ETF
TorontoCADETF / FUND DELAYED
Last price
39.13
▲ 0.79 (2.06%)
MARKET ·

Price

Drag pan · Pinch zoom · Hold crosshair · pick a tool then drag to draw
Open
Prev close
38.34
Day high
39.13
Day low
39.13
Volume
2
Market cap
P/E (TTM)
52W range
32.48 – 39.77

Trailing performance

Price return · vs SPY
Returnvs SPY
1W
-3.60% -2.2%
1M
+0.74% -3.0%
3M
+9.23% +6.1%
6M
+5.77% -5.3%
YTD
+4.75% -7.5%
1Y
+6.23% -13.8%
3Y
+48.31% -25.9%
5Y

Price return only. Dividends are not reinvested, so total return on a dividend payer will be higher than shown.

Top holdings

10 shown · by weight
SymbolNameWeight
PLMR Palomar Holdings Inc 3.16%
LPLA LPL Financial Holdings Inc 3.02%
SSB SouthState Bank Corp 2.87%
RYAN Ryan Specialty Holdings Inc Class A 2.78%
BPOP Popular Inc 2.74%
UMBF UMB Financial Corp 2.66%
ONB Old National Bancorp 2.43%
THG The Hanover Insurance Group Inc 2.34%
PNFP Pinnacle Financial Partners Inc 2.33%
PB Prosperity Bancshares Inc 2.30%

Sector exposure

Fund weightings
Financial services
97.87%
Technology
2.13%

Fund profile

As reported
Fund familyHamilton Capital Partners Inc.
Category
Legal typeExchange Traded Fund
Expense ratio0.00%
Turnover51.6%
Total net assets$14.06M

Unusual options activity

Account required
Nothing crossed the thresholds in the expiries we scanned.
That is the normal state — most contracts trade well inside their existing open interest.
Free account required

Contracts trading at or above their open interest, ranked by notional and where the print landed.

Free account

5 more panels on HUM.TO open with an account.

Options chains and analytics, valuation ratios, insider filings, analyst targets and ownership. No card, no trial, nothing to cancel.

Fundamentals

TTM · reported
Market cap
Enterprise value
Revenue (TTM)
Gross profit
EBITDA
Net income
EPS (TTM)
Free cash flow
Total cash
Total debt
Book value / share
Shares outstanding
Float
Short % of float
Dividend yield
Beta (5Y)

Valuation & profitability ratios

Account required
Trailing P/E
Forward P/E
PEG ratio
Price / sales
Price / book
EV / revenue
EV / EBITDA
Gross margin
Operating margin
Profit margin
Return on equity
Return on assets
Debt / equity
Current ratio
Free account required

Fourteen ratios including P/E, PEG, EV/EBITDA, margins and return on equity.

Options analytics

Account required
Put / call volume
Put / call open interest
Positioning, not flow
Max pain
ATM implied vol
Nearest strike to spot
Skew (10% OTM)
Call volume
0
Contracts, this expiry
Put volume
0
Contracts, this expiry
Heaviest call OI
Heaviest put OI

Max pain is the strike at which the largest dollar value of open contracts expires worthless. It describes current positioning; it is not a forecast and it moves as open interest changes.

Free account required

Put/call ratios, max pain, implied volatility skew and where open interest is concentrated.

Analyst targets & ownership

Account required
Mean target
High target
Low target
Implied upside
Analyst count
Consensus
Strong buy / Buy— / —
Hold
Sell / Strong sell— / —
Held by insiders
Held by institutions
Institutions holding
Free account required

Price targets, consensus spread, insider and institutional ownership.

Moving averages & technicals

Computed from 2Y daily closes
SMA 10
39.07
+0.16% from price
SMA 20
38.95
-1.57% from price
SMA 50
37.81
+1.40% from price
SMA 100
36.34
+7.67% from price
SMA 200
36.04
+6.39% from price
EMA 12
38.94
+0.50% from price
EMA 26
38.63
+1.29% from price
EMA 50
37.91
+3.23% from price
RSI (14)
46.9
Neutral
MACD (12,26,9)
0.31
Hist -0.17
ATR (14)
0.29
0.77% of price
Realised vol 30D
16.9%
Annualised
Bollinger upper
40.02
20, 2σ
Bollinger lower
37.88
20, 2σ
50 / 200 cross
Golden
37.81 vs 36.04
Trend bias
Above 200
+6.39%

Options chain

Account required
ExpirySpot 39.13
Calls
StrikeLastBidAskVolOIIV
000.000.000.000.00000.0%
000.000.000.000.00000.0%
000.000.000.000.00000.0%
000.000.000.000.00000.0%
000.000.000.000.00000.0%
000.000.000.000.00000.0%
000.000.000.000.00000.0%
Puts
StrikeLastBidAskVolOIIV
000.000.000.000.00000.0%
000.000.000.000.00000.0%
000.000.000.000.00000.0%
000.000.000.000.00000.0%
000.000.000.000.00000.0%
000.000.000.000.00000.0%
000.000.000.000.00000.0%
Free account required

Every listed expiry, both sides of the book, with volume, open interest and implied volatility.

Risk profile

Daily returns · 1Y window
Beta vs SPY
0.31
Less volatile than market
Correlation to SPY
0.22
Largely independent
Realised vol 30D
16.9%
Annualised
Market vol 1Y
12.9%
SPY, annualised
Max drawdown 1Y
-14.7%
Peak to trough
Max drawdown 5Y
-32.9%
Peak to trough
ATR 14
0.29
0.77% of price
Beta (reported)
5Y monthly, from filing

PRIVATE STRATEGY · BY QUALIFICATION

The same data. A different seat.

The research you are reading is the input layer for a discretionary options program we run for a small number of qualified investors. Minimum $1,000,000.