NASDAQ · Financial Services
$596.03
▲ +$23.03(+4.02%)4:00 PM ET - vs previous closeiQuote as of Sep 21, 2026, 4:00 PM EDT
NASDAQ market is closed. Showing the latest available regular-session trade from Sep 21, 2026, 4:00 PM EDT.
Market data source
Trailing earnings are 2.5% of the price, and the price sits 79% of the way from the 52-week low to the high.
Evidence
34/100
Thin evidence
Session
+4.02%
vs 573 prior close
52-week range
79%
of the 313.6–671.83 range
TECHi stance
Balanced watch
Model confidence 14/100 · 41/76 inputs
Chart
Latest 1D session
Trade access
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PriceAt closeLast traded
Fundamentalsevery 6 hrProvider checked
Investor playbook
The page is most useful as a monitor until one side gets cleaner confirmation.
Use it for
Entry timing, risk check, and catalyst scan
What has to keep working for US investors to stay interested.
Trend support
+22.0%Current price is above the 200-day average.
Where the dashboard says the thesis can break or get crowded.
Premium multiple
40.71Trailing P/E is high enough that earnings misses can matter fast.
The playbook is derived from quote, analyst, financial, news, and trend snapshots. It is a research workflow aid, not a buy or sell recommendation.
How to read this quote
As of Sep 21, 2026, 4:00 PM EDT, VanEck Semiconductor ETF (SMH) traded at $596.03, a +4.02% move versus the prior close, ranging between $578.56 and $598.62 intraday, and on volume of 9.76M shares. The fund has traded between $313.60 and $671.83 over the past 52 weeks, holds $67.79B in net assets, and yields 0.2% in distributions. SMH's record close stands at $671.83, set on Jun 22, 2026.
Balanced watch. Track record validation (85/100) is the strongest signal; news sentiment (0/100) is the main constraint. Model confidence is 14/100 — some inputs are unavailable, so treat this as a directional research screen rather than a forecast. Long-term secular context is tracked separately: 10 Years +1866.6% total; yesterday +4%. Comparable past signals have verified against subsequent prices 12.5% of the time.
Expected-return math is scaled by beta and realized volatility before confidence is applied.
Short-horizon expected moves are volume-weighted so thin moves get less credit than confirmed tape.
Sector momentum is included beside the broader market regime.
| Beta (5Y) | 1.98 |
Benchmark context
Compare against its sector ETF and the broad market.
Help · FAQ
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