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Compare Logitech International SA (LOGI) vs Invesco S&P 500 High Div Low Volatility ETF (SPHD) Price & Performance

Logitech International SATrade
Invesco S&P 500 High Div Low Volatility ETFTrade

Price performance (Past 24H)

Key statistics

Logitech International SA vs Invesco S&P 500 High Div Low Volatility ETF — how do they compare? Logitech International SA trades at $98.27 (market cap $14.46B), while Invesco S&P 500 High Div Low Volatility ETF trades at $48.82 (market cap $3.14B). The key difference: Logitech International SA is far larger — about 4.6× Invesco S&P 500 High Div Low Volatility ETF's market cap, and Logitech International SA pays a 1.63% dividend while Invesco S&P 500 High Div Low Volatility ETF pays none. Which is the better fit depends on your goals — on Pluang, investors hold Logitech International SA for 92 Days and Invesco S&P 500 High Div Low Volatility ETF for 125 Days on average.

LOGISPHD
Market Cap
$14.46B$3.14B
Volume
349,5471,461,349
Sector
Technology—
52-Week High
$126.69$53.55
52-Week Low
$85.84$46.96
Typical Hold Time
92 Days125 Days
Enterprise Value
$12.79B—
Dividend Yield
1.63%—

Aura AI Summary

Signals from Pluang's Aura AI — not financial advice

Logitech International SA

Logitech (LOGI) trades at $101.50, down 0.67% on the day, with neutral technical indicators and mixed analyst sentiment. The company demonstrates strong profitability with 45.13% gross margins and 35.29% ROE, while recent earnings beats and new product launches including Zone Vibe Pro headsets and gaming partnerships signal innovation momentum. Cash flow trends show operational strength despite recent net outflow.

Outlook remains balanced with 5.3% upside to consensus price target of $107, though analyst ratings are evenly split. Key risks include chip shortage challenges cited by management and competitive pressures in the peripheral market. Revenue growth acceleration to $4.9B projected for 2026 supports potential valuation expansion if execution continues.

Invesco S&P 500 High Div Low Volatility ETF

SPHD trades at $48.81, up 1.29% today, but faces bearish technical signals with 17 sell indicators versus 4 buy signals. The ETF's monthly dividend structure provides consistent income, though recent analysis highlights underperformance compared to peers like SCHD over the past decade. Current technical positioning shows oversold conditions with RSI readings below 15, suggesting potential for near-term bounce despite the dominant bearish trend.

The outlook remains cautious as SPHD's high-dividend, low-volatility strategy faces challenges in maintaining total returns. Key risks include yield trap exposure and weaker drawdown recovery compared to quality-focused alternatives. For income-focused investors, the monthly dividend provides utility, but long-term capital appreciation appears limited based on historical performance trends.

Returns comparison

Trailing returns across standard periods

Investor sentiment on Pluang

What Pluang investors did over the last 30 days

LOGI
100% Buy0% Sell
Avg holding period · 92 Days
SPHD
82% Buy18% Sell
Avg holding period · 125 Days

Top news

Latest headlines on both assets

About Logitech International SA

Logitech International SA is a Switzerland-based provider of personal computer and mobile accessories for navigation, video communication, and collaboration, smart home, and other applications. Its product portfolio includes mice, keyboards, charging stands, tablet cases, car mounts for mobile devices, remotes, home cameras, home switches, controllers, bluetooth speakers, surround sound, webcams, and conference cameras. It operates in a single segment namely, Peripherals. The firm generates revenue from the Americas, EMEA (Europe, Middle East, Africa), and the Asia Pacific region.

Read more on LOGI →

About Invesco S&P 500 High Div Low Volatility ETF

The fund generally will invest at least 90% of its total assets in the securities that comprise the underlying index. Strictly in accordance with its guidelines and mandated procedures, S&P Dow Jones Indices LLC (the “index Provider”) compiles, maintains and calculates the underlying index, which is designed to measure the performance of 50 least volatile high yielding constituents of the S&P 500 ® Index in the past year.

Read more on SPHD →