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The Advisors Inner Circle Fund II PMV Adaptive Risk Parity ETF

ARPARCA
Logo offerto da Benzinga Data
$28.31
-0.17-0.60%
In chiusura: -
Sector
Technology
Region
US
AUM
22.85M
Fund Score

The Advisors Inner Circle Fund II PMV Adaptive Risk Parity ETF (ARCA:ARP) Citazioni e riassunti delle notizie

The Advisors Inner Circle Fund II PMV Adaptive Risk Parity ETF (ARCA: ARP) prezzo delle azioni, notizie, grafici, ricerca sulle azioni, profilo.

Aperto$28.31
Alto$28.31
Massimo a 52 settimane$29.11
AUM22.85M
Dividendo$0.67
Data di stacco del dividendodic 28, 2023
Volume77
Capitalizzazione di mercato-
Commissione di gestione0.85%
Rapporto P/E-
Chiusura precedente$28.48
Basso$28.31
Minimo a 52 settimane$24.72
Azioni in circolazione900.00K
Rendimento2.42%
Frequenza dei dividendiAnnuale
Media Volume giornaliero1.42K
Beta0.48
Media Rapporto di spesa1.42%
Rapporto P/B-

Notizie recenti

Nessuna notizia trovata

FAQ

Q

Come posso acquistare le azioni di The Advisors Inner Circle Fund II PMV Adaptive Risk Parity ETF (ARP)?

A

È possibile acquistare azioni di The Advisors Inner Circle Fund II PMV Adaptive Risk Parity ETF (ARCA:ARP) attraverso qualsiasi broker online.

Visualizza il nostro elenco dei migliori broker azionari

Q

Chi sono i competitor di The Advisors Inner Circle Fund II PMV Adaptive Risk Parity ETF (ARP)?

A

Non ci sono competitor di questo tipo per The Advisors Inner Circle Fund II PMV Adaptive Risk Parity ETF.

Q

Qual è la previsione o l'obiettivo di prezzo per le azioni di The Advisors Inner Circle Fund II PMV Adaptive Risk Parity ETF (ARP)?

A

Non esiste alcuna analisi per The Advisors Inner Circle Fund II PMV Adaptive Risk Parity ETF per fornire un obiettivo di prezzo condiviso.

Q

Prezzo attuale delle azioni The Advisors Inner Circle Fund II PMV Adaptive Risk Parity ETF (ARP)?

A

Il prezzo dell'azione per The Advisors Inner Circle Fund II PMV Adaptive Risk Parity ETF (ARCA: ARP) è di ${lastTradePrice}} con l'ultimo aggiornamento 15 novembre 2024 alle ore 16:10 GMT-5.

Q

La società The Advisors Inner Circle Fund II PMV Adaptive Risk Parity ETF (ARP) distribuisce un dividendo?

A

Un dividendo trimestrale in contanti di 0.01 per azione di Classe A Common Stock. Il dividendo trimestrale in contanti è stato pagato il aprile 14, 2016 agli azionisti registrati il aprile 6, 2016.

Q

Quando The Advisors Inner Circle Fund II PMV Adaptive Risk Parity ETF (ARCA:ARP) riporterà gli utili?

A

Non sono previsti rapporti sui risultati per The Advisors Inner Circle Fund II PMV Adaptive Risk Parity ETF.

Q

The Advisors Inner Circle Fund II PMV Adaptive Risk Parity ETF (ARP) farà uno split?

A

Non c'è uno split imminente per The Advisors Inner Circle Fund II PMV Adaptive Risk Parity ETF.

Aperto$28.31
Alto$28.31
Massimo a 52 settimane$29.11
AUM22.85M
Dividendo$0.67
Data di stacco del dividendodic 28, 2023
Volume77
Capitalizzazione di mercato-
Commissione di gestione0.85%
Rapporto P/E-
Chiusura precedente$28.48
Basso$28.31
Minimo a 52 settimane$24.72
Azioni in circolazione900.00K
Rendimento2.42%
Frequenza dei dividendiAnnuale
Media Volume giornaliero1.42K
Beta0.48
Media Rapporto di spesa1.42%
Rapporto P/B-
ETF Details
SectorTechnology
CategoryShort Term Safe
Investment StyleMulti Alternative
Fund Inceptiondic 21, 2022
Managers
Jeffrey Kernagis
Ryan Dofflemeyer
Daniel Snover
DefinitionFixed Income Fund portfolio contains a large percentage of securities with low duration and superior credit quality
Investment Policy
The Fund is an actively managed exchange-traded fund that seeks to achieve its investment objective by taking advantage of broad asset trends throughout the economic cycle. The Adviser actively monitors asset class pricing trends to determine characteristics used for portfolio construction, including measurements of risk, returns, and asset correlations. The Adviser then uses this information to inform the security selection process for the Fund, with an emphasis on securities that have had better recent performance compared to other securities under similar market conditions. The Fund will obtain investment exposure to a variety of asset classes, including equities (primarily U.S. equities, non-U.S. developed market equities, and emerging market equities), fixed income securities including U.S. Treasuries, broad commodities (specifically, a diverse group of heavily traded commodities across the energy, precious metals, industrial metals and agriculture sectors), physical gold, currencies, and cash. The Fund operates in a manner that is commonly referred to as a fund of funds and obtains investment exposure to the asset classes described above primarily by investing in one or more exchange-traded products, including ETFs and exchange-traded commodity pools, designed to track the performance of such asset classes. The Fund also may invest directly in securities and other instruments, rather than investing indirectly in securities and other instruments through ETPs, when the Adviser determines that doing so is the more appropriate means to access the desired exposure to an asset class. The Adviser does not have a target allocation between the various asset classes. Instead, the Adviser makes investment allocations based on prevailing market conditions or differences in asset class performance that may create opportunities that further the Funds investment objective. The Funds asset allocations may vary over time at the Advisers discretion.
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