B

    BST (BST)

    Sector Equity • Technology

    $50.81
    +0.00 (+0.00%)

    Last updated: Aug 31, 2026 at 5:00 PM ET

    Dividends

    Dividend Metrics

    Yield5.41%
    Annual/Share$2.75
    Frequency12
    Pay MonthsJan, Feb, Mar, Apr, May, Jun, Jul, Aug, Sep, Oct, Nov, Dec

    Growth

    3Y CAGR+0.00%
    5Y CAGR+7.91%
    View BST's full dividend history

    BST (BST)

    Technology • USA

    Net Assets (AUM)N/A
    Expense RatioN/A
    Dividend YieldN/A
    Portfolio TurnoverN/A
    Inception DateN/A

    Sector Allocations

    Technology43.6%
    Communication Services7.1%
    Consumer Cyclical3.0%
    Industrials2.6%

    Note: Total allocation shown is 56.3%. Some sectors may not be classified.

    Technical Indicators

    RSI: Neutral
    RSI (14)65.51
    VWAP
    $50.820

    Simple Moving Averages

    SMA 10
    $49.76
    SMA 20
    $49.43
    SMA 50
    $47.85
    SMA 200
    $41.93

    Exponential Moving Averages

    EMA 10
    $49.96
    EMA 20
    $49.26
    EMA 50
    $47.86
    EMA 200
    $42.99

    Holdings (33)

    Holdings as of Jul 1, 2026
    Rank
    Symbol
    Name
    Weight
    1NVDANVIDIA Corp10.34%
    2AVGOBroadcom Inc7.30%
    3AAPLApple Inc5.41%
    4MSFTMicrosoft Corp4.61%
    5GOOGLAlphabet Inc3.75%
    6LRCXLam Research Corp3.51%
    7MPWRMonolithic Power Systems Inc1.73%
    8SNOWSnowflake Inc1.40%
    9AMZNAmazon.com Inc1.34%
    10TSLATesla Inc1.23%
    11VRTVertiv Holdings Co1.22%
    12METAMeta Platforms Inc1.09%
    13CRWDCrowdstrike Holdings Inc1.00%
    14INTCIntel Corp0.91%
    15SATSEchoStar Corp0.83%
    16PANWPalo Alto Networks Inc0.83%
    17BWXTBWX Technologies Inc0.81%
    18AMDAdvanced Micro Devices Inc0.80%
    19ANETArista Networks Inc0.77%
    20GLWCorning Inc0.73%
    21TERTeradyne Inc0.67%
    22LITELumentum Holdings Inc0.67%
    23TTWOTake-Two Interactive Software Inc0.64%
    24COHRCoherent Corp0.61%
    25WDCWestern Digital Corp0.56%
    Showing 1-25 of 33
    Show:
    Page 1 of 2

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