Long Cramer ETF
NAV as of
4 Week: 23.71 - 25.57
52 Week: 23.71 - 25.57
Latest Closing Price
Premium / Discount
The investment seeks to provide investments results that generally track, before fees and expenses, the results of the investments recommended by television personality Jim Cramer. The fund is an actively managed exchange traded fund seeks to achieve its investment objective by engaging in transactions designed to replicate the investment returns of those investments recommended by television personality Jim Cramer (“Cramer”).
Main Fund Characteristics
|Period||Performance Returns(%)||Volatility(%)||Risk Adjusted Performance|
Annual Performance Return
|Ex Date||Payment Date||Dividend Payout per unit|
Total Number of Holdings: 36
Number of Bond Holdings: 0
Number of Equity Holdings: 34
Total Market Value: 961,797
Top 10 Holdings
|% Portfolio Weight||Shares Owned||Shares Changed||Market Value|
|Size||% of portfolio|
Equity Style Box Breakdown
*Forward-looking based on historical data.
Number of Bond Holdings
|Average Effective Duration||0|
|Average Effective Maturity (Years)*||0|
|Average Credit Quality||0|
|Average Weighted Coupon*||0|
|Average Weighted Price*||0|
Bond Style Box Breakdown
Data Source: Morningstar
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