What s Inside. Sector Analysis. Constituent Analysis. Distribution Analysis. Performance as of 3/31/18
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1 ALPS SECTOR DIVIDEND DOGS ETF QUARTERLY SCORECARD SDOG ETF Stats Ticker: Underlying Index: Listing Exchange: SDOG SDOGXTR NYSE Arca CUSIP: 00162Q 858 Fund Inception: 6/29/12 Dividends Paid: Quarterly Most Recent Dividend*: $ Gross Expense Ratio: 0.40% NAV**: $43.65 Shares Outstanding: 51,409,141 * Dividend Paid on 3/29/18 ** As of 3/31/18 Investment Objective The Fund seeks investment results that replicate as closely as possible, before fees and expenses, the performance of the S-Network Sector Dividend Dogs Index (the Underlying Index ). What s Inside Performance, Characteristics and Allocations March 31, 2018 At the conclusion of Q1 2018, the ALPS Sector Dividend Dogs ETF (SDOG) closed at $43.65, returning -3.68% for the quarter. This trailed the S&P 500 s (SPX) return of -0.76%. The fund maintained its deep value profile, as it closed the quarter with a forward P/E ratio of vs for the S&P 500. Sector Analysis The top performing sector in SDOG for Q was Info Tech (+6.22%), followed by Consumer Discretionary (+0.31%). For the quarter, the worst performing sector was Industrials (-8.85%), followed by Consumer Staples (-7.51%). Constituent Analysis For the quarter, total return was positive for 17 underlying names and negative for 32. The top performing security was Seagate Technology (STX), with a return of %, while the worst performer was L Brands (LB), which posted a return of %. Distribution Analysis As of March 31, 2018 the S-Network Sector Dividend Dogs Index had a TTM dividend yield of 4.26% relative to 4.05% on December 31, Performance as of 3/31/18 Cumulative Annualized Contact Info sdog@alpsinc.com Total Returns 3 Mo. 6 Mo. YTD S.I. 1 Yr. 3 Yr. 5 Yr. S.I. 1 ALPS Sector Dividend Dogs ETF (Net Asset Value) -3.68% 0.84% -3.68% % 5.31% 9.36% 11.71% 14.24% ALPS Sector Dividend Dogs ETF (Market Price) % 0.98% -3.63% % 5.43% 9.39% 11.74% 14.26% S&P 500 Total Return Index (Benchmark) -0.76% 5.84% -0.76% % 13.99% 10.78% 13.31% 14.58% S-Network Sector Dividend Dogs TR Index (Benchmark) -3.58% 1.08% -3.58% % 5.80% 9.88% 12.25% 14.79% Performance data quoted represents past performance. Past performance does not guarantee future results. Current performance may be higher or lower than actual data quoted. Call or visit for current month end performance. The investment return and principal value of an investment will fluctuate so that an investor s shares, when redeemed, may be worth more or less than their original cost. 1 Fund inception date of 6/29/12. 2 Market Price is based on the midpoint of the bid/ask spread at 4 p.m. ET and does not represent the returns an investor would receive if shares were traded at other times. Learn More alpssectordividenddogs.com
2 Performance SDOG 1 Year Performance (NAV) $50 1/26/18 High $49.26 $45 5/18/17 Low $41.58 $40 3/31/17 4/30/17 5/31/17 6/30/17 7/31/17 8/31/17 9/30/17 10/31/17 11/30/17 12/31/17 1/31/18 2/28/18 3/31/18 SDOG NAV 50 Day Moving Average 100 Day Moving Average Source: Bloomberg NAV returns as of 3/31/18. Past performance is not indicative of future results. Index Characteristics Fundamentals & Risk SDOGX SPX Profile SDOGX SPX Price to Earnings Ratio Dividend Yield 4.26% 1.95% Price to Earnings Ratio using FY1 Est Max Market Cap (Million $) $316,157 $851,318 Price to Earnings Ratio using FY2 Est Min Market Cap (Million $) $3,456 $3,456 Price to Book Ratio Total Market Cap (Agg, Million $) $3,114,245 $24,742,639 Price to Sales Ratio Weighted Avg. Market Cap ( Agg, Million $) $64, ,756 Price to Cash Flow Ratio Market Cap Breakdown SDOGX SPX Beta 0.97 Large Cap 81.05% 97.82% Volatility 11.80% 10.34% Mid Cap 18.95% 2.18% Small Cap 0.00% 0.00% Bloomberg Data as of 3/31/18. Beta is to the S&P 500 Index.
3 Allocations Geography Sector Market Cap United States 100% Utilities 11.06% Consumer Discretionary 10.83% Energy 10.63% Health Care 10.29% Information Technology 10.27% Consumer Staples 10.23% Industrials 10.22% Materials 10.17% Financials 10.11% Telecommunication Services 6.19% Large Cap 81.05% Mid Cap 18.95% Sector Attribution - Q Overall, sector allocation was negative in Q1 2018, as the fund s relative under-weight to Info Tech and over-weight to Materials detracted from the fund s performance vs. the benchmark. Selection effect also adversely impacted the fund s relative return, as the fund s names in Industrials and Financials underperformed. Avg % Wgt Contribution to Return Total Return SDOG SPX +/- SDOG SPX +/- SDOG SPX +/- Total Attribution Allocation Effect Selection Effect Consumer Discretionary 10.68% 12.60% -1.92% 0.05% 0.36% -0.30% 0.31% 3.09% -2.79% -0.35% -0.07% -0.28% Consumer Staples 10.06% 7.76% 2.30% -0.77% -0.56% -0.21% -7.51% -7.12% -0.39% -0.18% -0.14% -0.04% Energy 10.79% 5.82% 4.97% -0.58% -0.34% -0.24% -5.35% -5.88% 0.53% -0.19% -0.26% 0.07% Financials 10.14% 14.89% -4.75% -0.67% -0.15% -0.52% -6.47% -0.95% -5.52% -0.56% 0.01% -0.57% Health Care 10.59% 13.87% -3.28% -0.64% -0.17% -0.47% -5.86% -1.22% -4.64% -0.49% 0.01% -0.50% Industrials 10.09% 10.24% -0.15% -0.92% -0.15% -0.76% -8.85% -1.56% -7.29% -0.75% 0.01% -0.76% Information Technology 10.89% 24.55% % 0.64% 0.82% -0.18% 6.22% 3.53% 2.70% -0.29% -0.54% 0.25% Materials 10.67% 2.94% 7.73% -0.45% -0.16% -0.29% -4.47% -5.52% 1.05% -0.26% -0.37% 0.11% Real Estate 0.00% 2.68% -2.68% 0.00% -0.14% 0.14% 0.00% -5.02% 5.02% 0.12% 0.12% 0.00% Telecommunication Services 6.47% 1.93% 4.55% -0.29% -0.15% -0.13% -4.42% -7.48% 3.06% -0.11% -0.32% 0.21% Utilities 9.62% 2.72% 6.89% 0.04% -0.09% 0.13% 0.30% -3.30% 3.60% 0.23% -0.09% 0.32% Totals -2.83% -1.64% -1.19% Past performance is not indicative of future results. Subject to change.
4 Constituent Analysis Total Return Dispersion - Q SEAGATE TECHNOLOGY (STX) KOHLS CORP (KSS) MACY'S INC (M) FIRSTENERGY CORP (FE) ARCHER-DANIELS-MIDLAND CO (ADM) ONEOK INC (OKE) TARGET CORP (TGT) AES CORP (AES) GILEAD SCIENCES INC (GILD) HELMERICH & PAYNE (HP) CARDINAL HEALTH INC (CAH) WESTROCK CO (WRK) WESTERN UNION CO (WU) EATON CORP PLC (ETN) CENTURYLINK INC (CTL) INTL BUSINESS MACHINES CORP (IBM) PEOPLE'S UNITED FINANCIAL (PBCT) NAVIENT CORP (NAVI) XEROX CORP (XRX) PFIZER INC (PFE) EMERSON ELECTRIC CO (EMR) MERCK & CO. INC. (MRK) NUCOR CORP (NUE) LYONDELLBASELL INDU-CL A (LYB) ELI LILLY & CO (LLY) SCANA CORP (SCG) COCA-COLA CO/THE (KO) PHILIP MORRIS INTERNATIONAL (PM) SOUTHERN CO/THE (SO) INTERNATIONAL PAPER CO (IP) AT&T INC (T) PPL CORP (PPL) METLIFE INC (MET) VERIZON COMMUNICATIONS INC (VZ) FORD MOTOR CO (F) EXXON MOBIL CORP (XOM) CF INDUSTRIES HOLDINGS INC (CF) OCCIDENTAL PETROLEUM CORP (OXY) UNITED PARCEL SERVICE-CL B (UPS) INVESCO LTD (IVZ) ALTRIA GROUP INC (MO) NIELSEN HOLDINGS PLC (NLSN) QUALCOMM INC (QCOM) WELLS FARGO & CO (WFC) WILLIAMS COS INC (WMB) GENERAL ELECTRIC CO (GE) GENERAL MILLS INC (GIS) PATTERSON COS INC (PDCO) L BRANDS INC (LB) -40% -30% -20% -10% 0% 10% 20% 30% 40% 50% Past performance is not indicative of future results. Subject to change.
5 Dividend Update Of the 48 current SDOG constituents, 15 companies, or roughly 31% of the fund holdings, increased their dividends from Q to Q1 2018, and 0 holdings decreased their dividend on a quarter-over-quarter basis. 35 companies, or roughly 73% of the fund holdings, increased their dividends year-over-year from Q1 2017, while only 2 companies decreased their dividends. At the fund level, SDOG s 4th quarter distribution was $ per share. Quarter/Quarter Increases Decreases % of Portfolio Names Increasing Dividend Q Q Quarter/Quarter Dividend Increases Year/Year Dividend Increases Q % Q Year/Year 70% Q Q % Q Q % Past performance is not indicative of future results. 40% 30% 20% 10% 0% Q Q Q Q Sector Yield Breakdown The S-Networks Sector Dividend Dogs Index usage of yield analysis on a sector-by-sector basis as its primary screen continues to provide meaningfully higher yields compared to the broad based benchmark across the 10 GICS Sectors, ex Real Estate. TTM Yield* S-Net Sector Dividend Dogs S&P 500 8% 7% 6% 5% 4% 3% 2% 1% 0% Telecom Utilities Cons Disc Energy Info Tech Cons Stpls Industrials Financials Health Care Materials Real Estate Total * Excluding special dividends. Past performance is not indicative of future results.
6 Important Disclosures & Definitions An investor should consider the investment objectives, risks, charges and expenses carefully before investing. To obtain a prospectus which contain this and other information call or visit Read the prospectus carefully before investing. ALPS Sector Dividend Dogs ETF Shares are not individually redeemable. Investors buy and sell shares of the ALPS Sector Dividend Dogs ETF on a secondary market. Only market makers or authorized participants may trade directly with the Fund, typically in blocks of 50,000 shares. There are risks involved with investing in ETFs including the loss of money. Additional information regarding the risks of this investment is available in the prospectus. The Fund is subject to the additional risks associated with concentrating its investments in companies in the market sector. Diversification does not eliminate the risk of experiencing investment losses. The Fund s investments in non-u.s. issuers may involve unique risks compared to investing in securities of U.S. issuers, including, among others, greater market volatility than U.S. securities and less complete financial information than for U.S. issuers. In addition, adverse political, economic or social developments could undermine the value of the Fund s investments or prevent the Fund from realizing the full value of its investments. Financial reporting standards for companies based in foreign markets differ from those in the United States. Finally, the value of the currency of the country in which the Fund has invested could decline relative to the value of the U.S. dollar, which may affect the value of the investment to U.S. investors. An investor cannot invest directly in an index. The S-Network Sector Dividend Dogs Index (Ticker: SDOGX) is designed to serve as a fair, impartial and transparent measure of the performance of US large cap equities with above average dividend yields. The S&P 500 (Ticker: SPX) is an index of 500 stocks chosen for market size, liquidity and industry grouping among other factors. S&P 500: an index of 500 stocks chosen for market size, liquidity and industry grouping among other factors. Dogs of the Dow Theory: an investment strategy which proposes that an investor annually select for investment the ten Dow Jones Industrial Average stocks whose dividend is the highest fraction of their price. Downside risk: the probability that an asset will fall in price. It is also the measure of the possible loss from that decline. Tracking error: a measure of how closely a portfolio follows the index to which it is benchmarked. Sharpe ratio: a measure that indicates the average return minus the risk-free return divided by the standard deviation of return on an investment. Information ratio: A ratio of portfolio returns above the returns of a benchmark (usually an index) to the volatility of those returns. Price to earnings ratio: an equity valuation multiple. It is defined as market price per share divided by annual earnings per share. Price to book ratio: a financial ratio used to compare a company s current market price to its book value. Beta: A measure of the volatility, or systematic risk, of a security or a portfolio in comparison to the market as a whole. Dividend yield: a dividend expressed as a percentage of a current share price. Basis point: A unit that is equal to 1/100th of 1%, and is used to denote the change in a financial instrument. ALPS Portfolio Solutions Distributor, Inc. is the distributor for the ALPS Sector Dividend Dogs ETF. DOG /31/18 Learn More alpssectordividenddogs.com
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