Seeking Alpha
26 Jul 2026, 10:26 UTC · 2h ago
DUSA: Value, Low Volatility Exposure To Weigh On Returns, Hold Rating Maintained
NewsImpactScreener rates every claim in this story for market impact and maps it to the tickers most exposed.

Seeking Alpha
26 Jul 2026, 10:26 UTC · 2h ago
NewsImpactScreener rates every claim in this story for market impact and maps it to the tickers most exposed.

What the story claims
3 claims · each scored for market impact
The Davis Select U.S. Equity ETF (DUSA) is expected to underperform the iShares Core S&P 500 ETF (IVV) for the remainder of 2026. — The analyst predicts a decline in relative performance for the fund compared to the broad market benchmark.
-0.30Growth and GARP (Growth at a Reasonable Price) factors are anticipated to outperform low volatility and value factors. — This shifts sentiment away from the value-oriented strategy employed by DUSA and toward higher-growth assets.
-0.20DUSA's portfolio PEG ratio has worsened to 2.38, indicating a less appealing valuation relative to earnings growth. — A rising PEG ratio suggests the fund's holdings are becoming overvalued relative to their growth potential.
-0.10Which stocks this story touches
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The analyst maintains a neutral stance but expects the ETF to underperform its benchmark and notes unappealing GARP metrics.
The analyst expects growth and GARP factors (represented by IVV) to retake leadership over value/low volatility strategies.
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