Pure Storage, Inc. engages in the business of delivering innovative and disruptive data storage, products, and services that enable customers to maximize the value of data. The firm is also involved in the provision of data storage and management with a mission to redefine the storage experience by simplifying how people consume and interact with data. The company was founded by John M. Hayes and John Colgrove in October 2009 and is headquartered in Santa Clara, CA.
Current Value
$61.151 Year Return
Current Value
$61.151 Year Return
Market Cap
$20.32B
P/E Ratio
162.13
1Y Stock Return
80.86%
1Y Revenue Growth
7.97%
Dividend Yield
0.00%
Price to Book
14.0
High risk
$7,600
This strategy concentrates on the technology sector, including companies involved in software, hardware, IT services, and semiconductor industries. It captures the growth potential of tech companies driving innovation and digital transformation, appealing to investors seeking exposure to this dynamic sector.
Top Sector
Information Technology
Top Holdings
Return
Expense Ratio
0.00%
Holdings
281
Medium risk
$14,000
This strategy tracks a market-cap-weighted index of the 1000-largest US companies. It offers broad exposure to the US equity market, encompassing a diverse range of sectors and industries. By investing in this fund, you gain access to the performance of large and well-established companies within the US economy.
Top Sector
Information Technology
Top Holdings
Return
Expense Ratio
0.00%
Holdings
391
Medium risk
$33,000
This strategy tracks a market-cap-weighted index of the 1000-largest US companies. It offers broad exposure to the US equity market, encompassing a diverse range of sectors and industries. By investing in this fund, you gain access to the performance of large and well-established companies within the US economy.
Top Sector
Information Technology
Top Holdings
Return
Expense Ratio
0.00%
Holdings
994
Medium risk
$5,000
This strategy tracks a market-cap-weighted index of mid-cap US companies. This strategy offers targeted exposure to the growth potential of mid-sized businesses within the US market. With a diversified portfolio of holdings, it provides investors with a comprehensive approach to capturing the mid-cap segment's performance.
Top Sector
Industrials
Top Holdings
Return
Expense Ratio
0.00%
Holdings
399
Name | Correlation | Market Cap | Return % (1 Year) | Div Yield % |
---|---|---|---|---|
OKTA | 63.92% | $14.57B | +8.09% | 0.00% |
MRVL | 60.55% | $96.36B | +94.65% | 0.22% |
NTAP | 56.76% | $24.94B | +36.99% | 1.66% |
AVGO | 52.23% | $855.65B | +68.12% | 9.05% |
KODK | 51.80% | $540.29M | +82.11% | 0.00% |
ANET | 50.28% | $135.08B | +86.85% | 0.00% |
NVDA | 49.64% | $3.41T | +189.70% | 0.05% |
VECO | 48.08% | $1.62B | -4.00% | 0.00% |
AMD | 48.06% | $211.21B | -5.82% | 0.00% |
VERX | 47.36% | $8.56B | +97.84% | 0.00% |
UCTT | 47.11% | $1.70B | +26.67% | 0.00% |
MKSI | 46.55% | $7.64B | +27.15% | 0.78% |
ENTG | 46.33% | $16.47B | -3.84% | 0.37% |
TER | 45.46% | $19.58B | +22.45% | 0.40% |
NVMI | 45.23% | $5.58B | +46.92% | 0.00% |
AEIS | 44.90% | $4.44B | +12.36% | 0.34% |
FORM | 44.72% | $3.33B | +9.75% | 0.00% |
ONTO | 44.64% | $8.28B | +12.80% | 0.00% |
WDC | 44.63% | $24.16B | +38.61% | 0.00% |
PDFS | 44.53% | $1.19B | -1.13% | 0.00% |
Name | Correlation | Market Cap | Return % (1 Year) | Div Yield % |
---|---|---|---|---|
KNOP | 0.04% | $200.87M | +8.66% | 1.79% |
IMMP | 0.06% | $343.44M | +11.85% | 0.00% |
CALM | 0.07% | $5.16B | +96.11% | 2.75% |
KMPR | -0.10% | $4.35B | +40.25% | 1.82% |
TECX | 0.13% | $719.05M | +203.11% | 0.00% |
WEN | 0.14% | $3.55B | -12.78% | 5.75% |
MANU | -0.15% | $2.95B | -9.88% | 0.00% |
CHCT | 0.17% | $514.01M | -34.98% | 10.14% |
GSK | -0.19% | $70.29B | -6.23% | 4.58% |
OMCL | -0.20% | $2.18B | +24.60% | 0.00% |
FWRD | 0.22% | $976.63M | -47.31% | 0.00% |
VSCO | -0.23% | $3.71B | +77.36% | 0.00% |
RRGB | 0.23% | $84.93M | -53.10% | 0.00% |
SIGI | 0.24% | $5.84B | -6.48% | 1.49% |
ACHV | 0.28% | $145.81M | +27.71% | 0.00% |
WMT | 0.28% | $762.85B | +84.93% | 0.65% |
CPK | 0.30% | $2.91B | +19.51% | 1.92% |
UGP | -0.30% | $3.40B | -40.68% | 4.16% |
WST | 0.31% | $23.05B | -11.53% | 0.25% |
XMTR | 0.32% | $1.72B | +36.19% | 0.00% |
Name | Correlation | Market Cap | Return % (1 Year) | Div Yield % |
---|---|---|---|---|
XEL | -40.73% | $39.26B | +7.94% | 3.13% |
CBOE | -27.66% | $21.21B | +13.51% | 1.16% |
DAVA | -26.95% | $1.36B | -56.32% | 0.00% |
KO | -25.91% | $269.84B | +4.52% | 3.05% |
GIS | -25.84% | $36.36B | -3.45% | 3.61% |
CPB | -23.46% | $12.82B | -5.16% | 3.43% |
RLMD | -23.22% | $12.60M | -83.30% | 0.00% |
IRWD | -23.13% | $590.50M | -65.48% | 0.00% |
ED | -20.66% | $32.13B | -1.34% | 3.56% |
DGX | -19.61% | $17.38B | +10.32% | 1.91% |
PG | -19.26% | $401.84B | +14.84% | 2.31% |
EIX | -18.69% | $31.58B | +15.24% | 3.81% |
AEE | -18.66% | $23.98B | +10.49% | 3.67% |
SO | -18.57% | $91.22B | +13.92% | 3.42% |
JNJ | -18.54% | $353.05B | -5.87% | 3.33% |
PM | -18.42% | $197.18B | +34.34% | 4.11% |
MO | -18.41% | $92.69B | +30.15% | 7.21% |
EVRG | -18.40% | $14.32B | +16.76% | 4.16% |
LMT | -18.33% | $119.52B | +11.70% | 2.54% |
EXC | -18.21% | $36.94B | -10.34% | 4.11% |
Name | Correlation | AUM | Expense Ratio |
---|---|---|---|
QQA | 65.18% | $142.01M | 0% |
SIXG | 58.74% | $614.10M | 0.3% |
IGPT | 58.36% | $428.72M | 0.58% |
QTEC | 57.84% | $3.96B | 0.57% |
FTEC | 57.83% | $13.32B | 0.084% |
VGT | 57.72% | $84.78B | 0.1% |
IYW | 57.70% | $19.94B | 0.39% |
DYNF | 57.63% | $13.73B | 0.27% |
SOXQ | 57.51% | $484.26M | 0.19% |
IGM | 57.48% | $5.93B | 0.41% |
SMH | 57.42% | $23.06B | 0.35% |
XLK | 57.30% | $74.53B | 0.09% |
FBCG | 57.02% | $2.88B | 0.59% |
SKYY | 56.68% | $3.77B | 0.6% |
SOXX | 56.62% | $13.86B | 0.35% |
TDIV | 56.35% | $2.87B | 0.5% |
IXN | 56.17% | $5.34B | 0.41% |
RSPT | 56.15% | $3.62B | 0.4% |
JGRO | 56.11% | $4.28B | 0.44% |
QGRW | 56.00% | $673.87M | 0.28% |
Name | Correlation | AUM | Expense Ratio |
---|---|---|---|
CDC | -0.07% | $810.48M | 0.42% |
KXI | 0.10% | $711.68M | 0.41% |
PULS | -0.11% | $9.07B | 0.15% |
GBIL | 0.47% | $5.71B | 0.12% |
LVHD | -0.49% | $559.57M | 0.27% |
UTWO | 0.52% | $440.42M | 0.15% |
FUTY | -0.62% | $1.70B | 0.084% |
MINT | 0.69% | $11.84B | 0.35% |
IDU | -0.84% | $1.34B | 0.39% |
KMLM | -0.88% | $333.70M | 0.9% |
IAK | 0.93% | $769.12M | 0.39% |
XONE | -1.10% | $549.31M | 0.03% |
FTSD | -1.16% | $194.72M | 0.25% |
ULST | -1.22% | $536.61M | 0.2% |
IBTF | -1.30% | $2.09B | 0.07% |
YEAR | 1.32% | $1.16B | 0.25% |
SPTS | -1.43% | $5.57B | 0.03% |
SCHO | 1.43% | $11.19B | 0.03% |
VDC | -1.46% | $7.29B | 0.1% |
AGGH | -1.53% | $257.13M | 0.29% |
Name | Correlation | AUM | Expense Ratio |
---|---|---|---|
VIXY | -30.23% | $195.31M | 0.85% |
TAIL | -28.90% | $66.62M | 0.59% |
IYK | -20.72% | $1.33B | 0.4% |
CCOR | -18.73% | $107.36M | 1.18% |
FTXG | -12.36% | $24.35M | 0.6% |
CLOI | -11.69% | $789.22M | 0.4% |
DFNM | -11.33% | $1.43B | 0.17% |
JUCY | -10.40% | $324.29M | 0.6% |
UUP | -9.48% | $386.70M | 0.77% |
SUB | -9.38% | $8.64B | 0.07% |
USDU | -9.14% | $211.42M | 0.5% |
MUNI | -9.10% | $1.76B | 0.35% |
HTAB | -9.06% | $451.18M | 0.39% |
XLP | -8.93% | $17.33B | 0.09% |
MSOS | -8.44% | $533.66M | 0.83% |
FSTA | -8.21% | $1.26B | 0.084% |
SOYB | -8.18% | $27.03M | 0.22% |
VPU | -8.14% | $6.62B | 0.1% |
XLU | -7.81% | $17.34B | 0.09% |
CGSM | -7.54% | $546.33M | 0.25% |
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Information on this page is obtained from our data provider, Xignite, an unaffiliated third party. Double believes the information shown here is reliable, but has not been verified and there is no guarantee that the information is accurate. We also show information based on calculations performed by Double using data from our provider. Double believes this information is reliable, but has not verified the data and there is no guarantee that the calculations are accurate.