No holdings information is available in our database.
Seeks to track, before fees and expenses, the MAI SectorSurfer Momentum Index. The Fund employs two different investment strategies depending on whether the Index anticipates a bull market or a bear market. When a bull market is anticipated, the Fund’s portfolio will generally reflect a classic aggressive portfolio having approximately 70/30 domestic/international equity allocation weights. In that case, the Fund will generally invest in six ETFs that are considered geopolitical sector ETFs or economic sector ETFs. Conversely, when a bear market is anticipated, the Fund will generally invest in at least four ETFs that typically have a more conservative risk profile compared to the bull market ETFs. However, except as noted below, even when a bear market is anticipated, the Fund may invest in ETFs that are considered high-risk or are subject to equity market volatility, such as junk bond funds and equity funds.
$21.41 +0.07 (0.33%)
As of 01/31/2023 16:00:00 EST IEX book CBOE book
2022 © Stock Market MBA, Inc.