ETRACS Monthly Pay 2xLeveraged US Small Cap High Dividend ETN Series B

  • Current Indicative Value
  • 08/20/2026 | 08:00 pm
  • USD 4.27
  • Current Spot Price USD 4.23
  • 08/20/2026 | 04:10 pm

Index Profile

Underlying Index Solactive US Small Cap High Dividend Index
Ticker symbol SOLSMHD

About the index

The Solactive US Small Cap High Dividend Index is intended to track the price movements of stocks which are publicly traded on US stock exchanges and fulfill certain minimum requirements in terms of market capitalization. From this universe, the stocks with high Forward Looking Distribution Yield.
The Index was created on January 26, 2015, and therefore, has no performance history prior to that date.

Index Historical Returns

Name 1 Month 3 Months 6 Months 1 Year 3 Years
Solactive US Small Cap High Dividend Index 0.07% 8.21% 3.70% 2.21% -5.30%

Source: UBS Investment Bank, publicly available data.

Historical information presented is furnished as a matter of information only. Historical performance of the Index is not an indication of future performance. Future performance of the Index may differ significantly from historical performance, either positively or negatively.

Index Historical Returns are calculated on the basis of intraday index levels or closing index levels where relevant.

Constituent Weightings

Name Ticker symbol % Weight
The Wendy's Company WEN 5.79
Vail Resorts Inc MTN 5.18
NORTHERN OIL AND GAS INC NOG 4.25
Robert Half Intl Inc RHI 3.71
Park Hotels & Resorts Inc PK 3.52
Dynex Capital Inc DX 3.23
Americold Realty Trust COLD 3.05
Western Un Co WU 2.96
Armour Residential Reit Inc ARR 2.86
Sabra Health Care REIT Inc SBRA 2.80
New Residential Investment Corp RITM 2.75
Kinetik Holdings Inc KNTK 2.72
Flowers foods FLO 2.64
Millrose Properties Inc MRP 2.48
Cnx Coal Resources Lp CNXC 2.43
Highwoods Properties Inc. HIW 2.27
Uwm Holdings Corp UWMC 2.03
EPR Properties EPR 1.92
Fs Kkr Capital Corp FSK 1.88
Orchid Island Capital Inc ORC 1.82
Artisan Partners Asset Management Inc APAM 1.55
Hercules Technology Growth Capital Inc HTGC 1.38
Douglas Emmett Inc DEI 1.38
Arbor Realty Trust Inc ABR 1.32
Apollo Commercial Real Estat ARI 1.27
Medical Properties Trust Inc MPT 1.22
Blackstone Mortgage Trust Inc BXMT 1.16
Global Net Lease Inc GNL 1.05
Four Corners Property Trust FCPT 0.99
Innovative Industrial Proper IIPR 0.99
Golub Capital BDC Inc GBDC 0.96
Trinity Capital Inc TRIN 0.96
Invesco Mortgage Capital IVR 0.92
Ellington Financial LLC (EFC) EFC 0.88
Virtus Investment Partners Inc VRTS 0.86
Capital Southwest Corp CSWC 0.81
Diversified Energy Co Plc DEC 0.77
Rent-a-center Inc UPBD 0.73
Oxford Industries Inc OXM 0.72
MFA Financial Inc MFA 0.71
TPG Specialty Lending Inc TSLX 0.70
Pennymac Portgage Investment PMT 0.67
Tfs Financial Corp TFSL 0.67
Goldman Sachs Bdc Closed End Fund GSBD 0.64
Monro Inc MNRO 0.63
Ethan Allen Interiors Inc ETD 0.61
Umh Properties Inc UMH 0.57
Universal Corp/VA UVV 0.55
Redwood Trust Inc RWT 0.53
Oaktree Specialty Lending Corp OCSL 0.51
Navient Corp NAVI 0.51
Vitesse Energy Inc VTS 0.50
Alexanders Inc ALX 0.48
PennantPark Floating Rate Capital Ltd PFLT 0.48
Ladder Capital Corp LADR 0.47
Easterly Government Properties Inc DEA 0.46
Franklin Bsp Realty Trust Inc FBRT 0.43
ADAMAS TRUST INC ADAM 0.41
Chimera Investment Corp CIM 0.41
B&g Foods Inc BGS 0.40
Sinclair Inc SBGI 0.39
Cto Realty Growth Inc CTO 0.38
Tcg Bdc Inc CGBD 0.38
MECHANICS BANCORP MCHB 0.37
Gray Television Inc GTN 0.37
Washington Trust Bancorp WASH 0.37
Barings Bdc Inc BBDC 0.36
Brightspire Capital Inc BRSP 0.32
Gladstone Commercial Corp GOOD 0.31
Fidus Investment Corp FDUS 0.30
Solar Capital Ltd SLRC 0.30
Gladstone Land Corp LAND 0.29
Universal Health Realty Income Trust UHT 0.29
Shutterstock Inc SSTK 0.28
Ah Realty Trust Inc AHRT 0.28
Brandywine Realty Trust BDN 0.28
Nexpoint Residential Trust Inc NXRT 0.28
New Mountain Finance Corp NMFC 0.27
Granite Ridge Resources Inc GRNT 0.27
Tpg Re Finance Trust Inc TRTX 0.24
Bain Capital Specialty Finance Inc BCSF 0.22
TCP Capital Corp TCPC 0.19
Acco Brands Corp ACCO 0.19
GLADSTONE CAPITAL CORP GLAD 0.17
The Rmr Group Inc RMR 0.15
Community Healthcare Trust Inc CHCT 0.14
Crescent Capital Bdc Inc. CCAP 0.14
Saul Centers Inc BFS 0.13
Ares Commercial Real Estate Corp ACRE 0.10
RESOURCES CONNECTION INC RGP 0.09
Spok Holdings Inc SPOK 0.09
Chicago Atlantic Real Estate Finance Inc REFI 0.09
One Liberty Properties Inc OLP 0.08
Curiositystream Inc CURI 0.07
AG MORTGAGE INVESTMENT TRUST MITT 0.07
Seven Hills Realty Trust SEVN 0.05
Presidio Production Company FTW 0.05
Angel Oak Mortgage Inc AOMR 0.05

Source: Solactive, as of August 20, 2026.

Constituent Weightings