CPAY

NYSEStock

Corpay, Inc.

$317.53-3.64 (-1.13%)

52-Week Range

$255.00
$358.66

Key Stats

Market Cap

22.2B

P/E Ratio

21.14

Dividend Yield

Beta

0.82

Volume

560.7K

Avg Volume

663.3K

Performance

1M

-4.62%

3M

+3.01%

6M

+4.99%

YTD

+6.98%

1Y

-7.41%

3Y

+4.52%

5Y

+4.52%

Price Chart

ETF Exposure

CPAY is held by 425 ETFs

ETFFund NameWeight
ITDEiShares LifePath Target Date 2045 ETF0.01%
OMFLInvesco Russell 1000 Dynamic Multifactor ETF0.01%
AORiShares Core 60/40 Balanced Allocation ETF0.01%
ITDDiShares LifePath Target Date 2040 ETF0.01%
LSLTPacer Salt Low truBeta US Market ETF0.01%
SLTPacer Salt High truBeta US Market ETF0.01%
TRPLPacer Metaurus US Large Cap Dividend Multiplier 300 ETF0.01%
VETSPacer Military Times Best Employers ETF0.01%
VIRSPacer BioThreat Strategy ETF0.01%
ITDCiShares LifePath Target Date 2035 ETF0.01%
QWLDState Street SPDR MSCI World StrategicFactors ETF0.01%
VCNS.TOVanguard Conservative ETF Portfolio0.01%
AOMiShares Core 40/60 Moderate Allocation ETF0.01%
ITDBiShares LifePath Target Date 2030 ETF0.01%
MMTMState Street SPDR S&P 1500 Momentum Tilt ETF0.01%
AFTYPacer CSOP FTSE China A50 ETF0.00%
AVTMAvantis Total Equity Markets ETF 10.00%
INROiShares U.S. Industry Rotation Active ETF0.00%
IRTRiShares LifePath Retirement ETF0.00%
MAGU.ASiShares Growth Portfolio UCITS ETF0.00%
AOKiShares Core 30/70 Conservative Allocation ETF0.00%
VRIF.TOVanguard Retirement Income ETF Portfolio0.00%
AVUQAvantis U.S. Quality ETF0.00%
IQSUNYLI Candriam U.S. Large Cap Equity ETF0.00%
XCHGAlliance Bernstein - AB US Equity ETF0.00%
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About CPAY ETF Exposure

Corpay, Inc. (CPAY) is held by 425 exchange-traded funds, making it one of the stocks with significant ETF exposure. With a market capitalization of 22.2B, CPAY is a widely held institutional stock. The stock currently trades at $317.53. Investors can gain exposure to CPAY through a variety of ETFs with different expense ratios, investment strategies, and portfolio weightings. The table above shows all ETFs that currently hold CPAY, sorted by portfolio weight.