Related Funds
EDOG - ALPS Emerging Sector Dividend Dogs ETF
IDOG - ALPS International Sector Dividend Dogs ETF
SDOG
Fund Stats as of 02/15/2019
Symbol SDOG
Listing Exchange NYSE Arca
CUSIP 00162Q 858
ISIN US00162Q8583
Inception Date 06/29/2012
Dividends Paid Quarterly
Fund Type Exchange Traded Fund
Market Price $43.16
Last Trade Price $43.16
NAV $43.16
NAV Change $0.32
Total Net Assets $1,964,219,736
Total Market Value $1,959,556,955
Premium/Discount(%) 0.00%
Difference ($) $0.00
Volume 106,044
Shares Outstanding 45,509,141
Expenses as of 03/31/2018
Management Fee0.40%
Other Expenses0.00%
Total Operating Expenses0.40%
Yield Data as of 12/31/2018
30 Day SEC4.46%
30 Day SEC Unsubsidized4.46%
Fund Resources
Quarterly Fact Sheet 
Statement of Additional Information 
Statutory Prospectus 
Summary Prospectus 
Resource Library  

Daily Fund Holdings 52 total, as of 02/15/2019, subject to change

SecuritySymbolWeight
Leggett Platt Inc.LEG2.38%
Western Digital Corp.WDC2.35%
General Mills Inc.GIS2.31%
Seagate Technology PLCSTX2.27%
Principal Financial Group Inc.PFG2.23%
Williams Cos. Inc.WMB2.23%
Cummins Inc.CMI2.22%
MetLife Inc.MET2.21%
International Business Machines Corp.IBM2.20%
Schlumberger Ltd.SLB2.20%
Prudential Financial Inc.PRU2.19%
People's United Financial Inc.PBCT2.18%
ONEOK Inc.OKE2.15%
United Parcel Service Inc.UPS2.15%
Eaton Corp. PLCETN2.14%
General Motors Co.GM2.13%
Invesco Ltd.IVZ2.13%
Cardinal Health Inc.CAH2.12%
Johnson Controls International PLCJCI2.10%
International Paper Co.IP2.08%
LyondellBasell Industries NVLYB2.04%
Interpublic Group of Cos. Inc.IPG2.02%
Packaging Corp. of AmericaPKG2.01%
Occidental Petroleum Corp.OXY1.98%
Gilead Sciences Inc.GILD1.97%
Southern Co.SO1.96%
Nielsen Holdings PLCNLSN1.96%
Edison InternationalEIX1.94%
Philip Morris International Inc.PM1.93%
ATT Inc.T1.93%
The Kraft Heinz Co.KHC1.92%
Ford Motor Co.F1.92%
Entergy Corp.ETR1.92%
PPL Corp.PPL1.91%
CF Industries Holdings Inc.CF1.90%
Bristol-Myers Squibb Co.BMY1.90%
Omnicom Group Inc.OMC1.90%
Helmerich Payne Inc.HP1.88%
Western Union Co.WU1.87%
Pfizer Inc.PFE1.85%
Verizon Communications Inc.VZ1.85%
Dominion Resources Inc.D1.82%
AbbVie Inc.ABBV1.81%
Altria Group Inc.MO1.77%
QUALCOMM Inc.QCOM1.73%
Campbell Soup Co.CPB1.70%
Westrock Co.WRK1.68%
Macy's Inc.M1.56%
CenturyLink Inc.CTL1.55%
Newell Brands Inc.NWL1.49%
State Street Institutional Treasury Plus Money Market FundTPIXX0.12%
Cash and Equivalents0.24%
Total Net Assets 100.00%
Security
Leggett Platt Inc.
Western Digital Corp.
General Mills Inc.
Seagate Technology PLC
Principal Financial Group Inc.
Williams Cos. Inc.
Cummins Inc.
MetLife Inc.
International Business Machines Corp.
Schlumberger Ltd.
Prudential Financial Inc.
People's United Financial Inc.
ONEOK Inc.
United Parcel Service Inc.
Eaton Corp. PLC
General Motors Co.
Invesco Ltd.
Cardinal Health Inc.
Johnson Controls International PLC
International Paper Co.
LyondellBasell Industries NV
Interpublic Group of Cos. Inc.
Packaging Corp. of America
Occidental Petroleum Corp.
Gilead Sciences Inc.
Southern Co.
Nielsen Holdings PLC
Edison International
Philip Morris International Inc.
ATT Inc.
The Kraft Heinz Co.
Ford Motor Co.
Entergy Corp.
PPL Corp.
CF Industries Holdings Inc.
Bristol-Myers Squibb Co.
Omnicom Group Inc.
Helmerich Payne Inc.
Western Union Co.
Pfizer Inc.
Verizon Communications Inc.
Dominion Resources Inc.
AbbVie Inc.
Altria Group Inc.
QUALCOMM Inc.
Campbell Soup Co.
Westrock Co.
Macy's Inc.
CenturyLink Inc.
Newell Brands Inc.
State Street Institutional Treasury Plus Money Market Fund
Cash and Equivalents
Total Net Assets