ETFdb Logo
  • ETF Database
  • Content Hubs
    • Themes
      • Active ETF
      • Alternatives
      • Artificial Intelligence
      • China Insights
      • Core Strategies
      • Crypto
      • Disruptive Technology
      • Energy Infrastructure
      • ETF Building Blocks
      • ETF Investing
      • ETF Strategist
      • Financial Literacy
      • Fixed Income
      • Free Cash Flow
      • Future ETFs
      • Innovative ETFs
      • Institutional Income Strategies
      • Leveraged & Inverse
      • Market Insights
      • Market Outlooks
      • Modern Alpha
      • Nuclear Energy
      • Portfolio Strategies
      • Sector Investing
      • Tax Efficient Income
      • Thematic Investing
    • Asset Class
      • Equity
        • U.S. Equity
        • Int'l Developed
        • Emerging Market Equities
      • Alternatives
        • Gold/Silver/Critical Materials
        • Cryptocurrency
        • Currency
        • Volatility
      • Fixed Income
        • Investment Grade Corporates
        • US Treasuries & TIPS
        • High Yield Corporates
        • Int'l Fixed Income
    • ETF Ecosystem
    • ETFs in Canada
    • Market Outlook
    • Crypto ETF Hub
  • Tools
    • ETF Screener
    • ETF Country Exposure Tool
    • ETF Database Categories
    • Indexes
    • Scenario Analysis
    • Watchlists
    • Head-To-Head ETF Comparison Tool
    • Mutual Fund To ETF Converter
    • ETF Stock Exposure Tool
    • ETF Issuer Fund Flows
  • Research
    • ETF Education
    • Equity Investing
    • Dividend ETFs
    • Leveraged ETFs
    • Inverse ETFs
    • Index Education
    • Index Insights
    • Top ETF Sectors
    • Top ETF Issuers
    • Top ETF Industries
  • Webcasts
  • Sectors
    • Sector Investing Content Hub
    • XLK
    • XLI
    • XLU
    • XLY
    • XLP
    • XLRE
    • Sector Power Rankings
    • XLE
    • XLC
    • XLF
    • XLV
    • XLB
  • Multimedia
    • ETF 360 Video Series
    • ETF of the Week Podcast
    • Gaining Perspective Podcast
    • ETF Prime Podcast
    • Video
  • Company
    • About VettaFi
  • PRO
    • Pro Content
    • Pro Tools
    • Advanced
    • FAQ
    • Free sign up
    • Login
  1. Portfolio Strategies Content Hub
  2. RYE Up 13% Month to Date
Portfolio Strategies Content Hub
Share

RYE Up 13% Month to Date

Elle Caruso FitzgeraldOct 17, 2022
2022-10-17

The Invesco S&P 500 Equal Weight Energy ETF (RYE B+) offers investors a unique way to access the U.S. energy market.

The energy sector has been a top performer year to date in 2022, carrying momentum from 2021 when the sector’s returns began outpacing other sectors. RYE has returned 12.6% since October 1 and 43.8% year to date, as of October 17. Over one year, RYE has returned 36.1.24%, according to YCharts.

RYE decreased 9.4% in September, posting steep losses alongside the S&P 500’s decline of 9.6% on a price change basis. The energy sector quickly recovered and regained footing, posting double-digit returns this month to date, while the S&P 500 is up 2.5% during the same period.

RYE tracks an index that equally weights stocks in the energy sector of the S&P 500 Index. RYE has 24 equally weighted holdings, including Occidental Petroleum Corporation (OXY), Targa Resources Corp (TRGP), ConocoPhillips (COP), Hess Corporation (HES), and ONEOK Inc (OKE).

An equal weighting methodology may be particularly appealing in the top-heavy energy industry, where traditional cap weighting can result in significant concentration issues.

Advisors have continued to allocate to the strategy as energy has remained one of the only bright spots in the market, with energy companies projecting sustained growth. The fund has seen $117 million in year-to-date net inflows as of October 14, according to VettaFi.

The energy sector ranks first in average dividend yield, according to VettaFi, making it particularly attractive in the current environment. Equities that pay dividends are typically better positioned in inflationary and recessionary environments than the broader equity market or fixed-income investments. 

RYE carries an expense ratio of 40 basis points and has an annual dividend yield of 1.93%.

For more news, information, and strategy, visit our Portfolio Strategies Channel.

Loading Articles...

Advertisement

Is Your Portfolio Positioned With Enough Global Exposure?

ETF Education Channel

How to Allocate Commodities in Portfolios

Tom LydonApr 26, 2022
2022-04-26

A long-running debate in asset allocation circles is how much of a portfolio an investor should...

Core Strategies Channel

Why ETFs Experience Limit Up/Down Protections

Karrie GordonMay 13, 2022
2022-05-13

In a digital age where information moves in milliseconds and millions of participants can transact...

}
X