Casino Etf List

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Casinos ETF List ETFs which hold one or more stocks tagged as: Casinos. Symbol Grade Name Weight; XCS: A: iShares S&P/TSX SmallCap Index ETF: 1.9: Compare ETFs. VanEck Vectors Gaming ETF (BJK) The next of our vice ETFs to look at comes from the VanEck family of ETFs. The Vectors Gaming ETF has 50% of its allocation in the global gaming industry.

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CasinoBy Chris Markoch

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Exchange traded funds (ETFs) have become one of the most popular investment vehicles over the last 10 years. And like many index funds, there are index funds to fit every investing style. If you’re an investor whose personal convictions allow you to invest in sin stocks, then there are some vice ETFs that you may want to consider. Sin stocks are companies that allow us to indulge our vices. These include gambling, alcohol, tobacco, and cannabis companies. However, they also now capture the gaming community in all its forms. Most of the sin stocks were hit hard at the onset of the pandemic. But many of these categories are coming back. One reason for that is mounting evidence that our nation is moving on from the pandemic. As it relates to sin stocks, casinos have reopened in many states. The return of live sports has provided a catalyst for online and in-person sports books. Several states just passed ballot initiatives to legalize recreational marijuana. And while the bar and restaurant industry is still providing a drag on alcohol sales, it appears that consumers are still stocking their home bars. Here are 5 vice ETFs for safe investment in sin stocks: AdvisorShares Vice ETF (NYSEARCA:VICE) VanEck Vectors Gaming ETF (NYSEARCA:BJK) VanEck Vectors Video Gaming and eSports ETF (NYSEARCA:ESPO) ETFMG Alternative Harvest ETF (NYSEARCA:MJ) Invesco Dynamic Leisure & Entertainment ETF (NYSEARCA:PEJ) Sin stocks remain volatile, and as I mentioned above, not all vice stocks are performing equally well. That’s a good reason to look at vice ETFs for portfolio exposure.

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MAR Description — Marriott International, Inc.

Marriott International is a worldwide operator, franchisor, and licensor of hotel, residential and timeshare properties under various brand names at different price and service points. Co. has operations in the following reportable business segments: North American Full-Service, which includes Co.'s Luxury and Premium properties located in United States and Canada; North American Limited-Service, which includes Co.'s Select properties located in United States and Canada; and Asia Pacific, which includes all properties in Co.'s Asia Pacific region.

MAR — Key Stats (updated 28 minutes ago)
Company Name: Marriott International, Inc.
Website: www.marriott.com
Sector: Hotels, Lodging, Restaurants & Travel
Number of ETFs Holding MAR: 79
Total Market Value Held by ETFs: $3,589,514,138.64
Total Market Capitalization: $39,150,000,000
% of Market Cap. Held by ETFs: 9.17%
ETFs Holding MAR
ETF MAR Weight MAR Amount
VTI 0.08% $814,279,007
VOO 0.10% $632,986,492
QQQ 0.32% $478,022,459
SPY 0.10% $323,316,890
VIG 0.44% $270,807,313
IVV 0.10% $235,442,585
VTV 0.21% $194,439,727
XLY 0.94% $173,626,196
IWD 0.19% $80,190,540
IVE 0.22% $39,566,477
List of all 79 ETFs holding MAR »
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Buy (2.82 out of 4)
22nd percentile
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MAR Price Target
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MAR — Performance

PARTNER NEWS:

Tue, Jan 19, 7:32 AM, Zacks
Marriott (MAR) to Boost Asia Pacific Line-up With 100 Hotels
Marriott (MAR) continues to strengthen its portfolio in Asia-Pacific on the back of innovative offerings, hyper-localised marketing and sales strategies.

Fri, Jan 15, 7:54 AM, Zacks
Choice Hotels (CHH) Boosts Cambria Brand, Expands in Florida
Choice Hotels (CHH) upscale Cambria Hotels brand strengthens its presence with the introduction of a seaside property in Fort Lauderdale, on the south eastern coast of Florida.