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Last Close
May 27  •  09:50AM ET
70.35
Dollar change
-0.17
Percentage change
-0.23
%
Category
Global or ExUS Equities - Industry Sector
Asset Type
Equities (Stocks)
Tags
Return% 1Y
31.28%
Total Holdings
13
Perf Week
3.34%
Sponsor
Main Management
ETF Type
Tags
Return% 3Y
20.44%
AUM
2.73B
Perf Month
5.67%
Fund Family
Bond Type
Tags
Return% 5Y
12.96%
NAV/sh
Perf Quarter
9.16%
Index
-
Average Maturity
Tags
Return% 10Y
52W High
70.58 -0.33%
Perf Half Y
14.46%
Index Weighting
Commodity Type
Tags
Return% SI
52W Low
53.83 30.68%
Perf YTD
9.01%
Active/Passive
Quant Type
Tags
Flows% 1M
0.76%
Volatility
0.90% 0.84%
Perf Year
28.32%
ESG Type
Tags
-
Flows% 3M
1.34%
ATR (14)
0.73
Perf 3Y
69.67%
Dividend Type
Sector/Theme
Flows% YTD
1.38%
RSI (14)
69.77
Perf 5Y
73.99%
Structure Type
Region
Flows% 1Y
Beta
0.97
Perf 10Y
-
Expense
0.69%
Growth/Value
SMA20
2.62%
Flows% 3Y
Rel Volume
0.04
Prev Close
70.51
Inverse/Leveraged
Market Cap
SMA50
7.85%
Flows% 5Y
Avg Volume
111.22K
Price
70.35
IPO
Sep 06, 2017
Option/Short
Yes / Yes
SMA200
10.31%
Trades
Volume
460
Change
-0.23%
Main Sector Rotation ETF seeks to outperform the S&P 500 in rising markets while limiting losses during periods of decline. The fund utilizes a "fund of funds" structure to invest in sector-based equity ETFs. It seeks to achieve its objective through dynamic sector rotation. The Adviser focuses its research primarily on sector selection by carefully reviewing the sectors, industries, and sub-industries in the fund's portfolio. The Adviser chooses sectors it believes are undervalued and poised to respond favorably to financial market catalysts. The fund sells a security when it achieves its target price and is, in the opinion of the Adviser, no longer undervalued.