DV
Dividend Vision

DVA — DaVita Inc.

DaVita Inc. (DVA)

Total return is 4318.7% over the past 30.8 years, 2150.7 points ahead of SPY at 2168.0%. Its deepest 1-year drawdown was 26.0%.

DVA is a single-stock equity holding in DaVita Inc., a healthcare services company, rather than a diversified ETF portfolio. The stock distributes dividends on a quarterly basis, though specific yield and expense ratio data are not available. This holding appeals primarily to income-focused investors seeking exposure to the healthcare sector through a single company rather than a diversified fund structure.

DVA key facts

Asset type
Stock
Asset class
Equity
Inception date
10/31/1995
Distribution frequency
None
Last close
$180.06
Market cap
$11,487,827,968
Average volume
506600.0
Beta
0.87
Payout ratio
0.0
P/E ratio
15.1693
Forward P/E
12.6582
EPS
$11.87