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TAIL [AMEX]
Cambria Tail Risk ETF
Index- P/E- EPS (ttm)- Insider Own- Shs Outstand- Perf Week1.11%
Market Cap- Forward P/E- EPS next Y- Insider Trans- Shs Float- Perf Month2.30%
Income- PEG- EPS next Q- Inst Own- Short Float- Perf Quarter1.70%
Sales- P/S- EPS this Y- Inst Trans- Short Ratio- Perf Half Y-6.37%
Book/sh- P/B- EPS next Y- ROA- Target Price- Perf Year-13.54%
Cash/sh- P/C- EPS next 5Y- ROE- 52W Range18.54 - 22.20 Perf YTD-7.19%
Dividend0.03 P/FCF- EPS past 5Y- ROI- 52W High-14.28% Beta-
Dividend %0.16% Quick Ratio- Sales past 5Y- Gross Margin- 52W Low2.64% ATR0.14
Employees- Current Ratio- Sales Q/Q- Oper. Margin- RSI (14)55.16 Volatility0.58% 0.64%
OptionableYes Debt/Eq- EPS Q/Q- Profit Margin- Rel Volume0.56 Prev Close19.10
ShortableYes LT Debt/Eq- Earnings- Payout- Avg Volume207.17K Price19.03
Recom- SMA200.48% SMA501.12% SMA200-3.24% Volume89,022 Change-0.37%
Sep-10-20 01:52PM  
Aug-12-20 09:30AM  
Jun-26-20 04:22PM  
May-22-20 08:02PM  
Apr-06-20 04:30PM  
Mar-30-20 12:30PM  
Mar-23-20 12:00AM  
Mar-13-20 02:37PM  
Mar-11-20 06:19PM  
Jan-28-20 03:03PM  
Jul-25-19 08:30AM  
Dec-26-18 04:45PM  
07:29AM  
Dec-21-18 01:00PM  
Oct-22-18 12:52PM  
Nov-29-17 09:00AM  
Jun-07-17 06:43PM  
Apr-20-17 08:10AM  
Apr-19-17 08:00AM  
Apr-14-17 08:12AM  
The investment seeks to provide income and capital appreciation from investments in the U.S. market while protecting against significant downside risk. The fund is actively managed and seeks to achieve its investment objective by investing in cash and U.S. government bonds, and utilizing a put option strategy to manage the risk of a significant negative movement in the value of domestic equities. The adviser intends to spend approximately one percent of the fund's total assets per month to purchase put options.