Monday, March 20, 2023 11:30:55 AM EDT
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Global X Adaptive U.S. Risk Management ETF | ONOF | FIS Knights of Columbus Global Belief ETF | KOCG | Capital Link Global Fintech Leaders ETF | KOIN | Armor US Equity Index ETF | ARMR | Dreyfus Money Market - Wealth Shares | GMMXX | Dreyfus Institutional Preferred Treasury Securities Money Market Fund Institutional Shares | CEIXX | Dreyfus Institutional Preferred Treasury Securities Money Market Fund Hamilton Shares | CEAXX | Dreyfus Government Cash Management Fund Bold Shares | DBLXX | Dreyfus Government Cash Management Fund Service Shares New | DGUXX | Dreyfus Government Securities Cash Management Institutional Shares | DIPXX |
Gross Expense Ratio*
0.39%
SEC 30 Day Yield (as of 02/28/23 )
1.26%
Ann. Dividend/Yield
$0.6675/2.50%
Ex-Dividend Date
12/29/2022
52-Wk Range
22.54 - 28.53
Fund Inception
01/12/2021
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The investment seeks investment results that correspond generally to the price and yield performance of the Adaptive Wealth Strategies U.S. Risk Management Index.The fund invests at least 80% of its total assets in the securities of the index or in investments that have economic characteristics that are substantially identical to the economic characteristics of such component securities, either individually or in the aggregate. The index is designed to dynamically allocate between either 100% exposure to the Solactive GBS United States 500 Index TR or 100% exposure to a portfolio of U.S. Treasuries with 1-3 years remaining to maturity. It is non-diversified.
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Market Return % (as of 02/28/2023) |
NAV Return % (as of 02/28/2023) |
Market Return % (as of 12/31/2022) |
NAV Return % (as of 12/31/2022) |
1-Month |
-2.05% |
-2.30% |
-3.36% |
-3.60% |
3-Month |
-2.29% |
-2.63% |
+7.32% |
+7.26% |
6-Month |
+7.49% |
+7.07% |
+17.05% |
+16.93% |
Year-to-date |
+1.10% |
+1.00% |
-11.89% |
-11.60% |
1-Year |
+6.09% |
+5.89% |
-11.89% |
-11.60% |
3-Year |
-- |
-- |
-- |
-- |
5-Year |
-- |
-- |
-- |
-- |
10-Year |
-- |
-- |
-- |
-- |
Since Inception |
+5.51% |
+5.45% |
+5.39% |
+5.38% |
Inception Date: January 12, 2021
Performance Details
Total return reflects performance without adjusting for sales charges or the effects of taxation, but is adjusted to reflect all actual ongoing fund expenses and assumes reinvestment of dividends and capital gains. If adjusted, sales charges would reduce the performance quoted. Performance data quoted represents past performance, is no guarantee of future results, and may not provide an adequate basis for evaluating the performance potential of the product over varying market conditions or economic cycles. Current performance may be higher or lower than the performance data quotes. The investment return and principal value of an investment will fluctuate so that an investor's shares, when redeemed, may be worth more or less than their original cost.
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Market Return % (as of 02/28/2023) |
NAV Return % (as of 02/28/2023) |
Market Return % (as of 12/31/2022) |
NAV Return % (as of 12/31/2022) |
1-Year |
+6.09% |
+5.89% |
-11.89% |
-11.60% |
5-Year |
-- |
-- |
-- |
-- |
10-Year |
-- |
-- |
-- |
-- |
Since Inception |
+5.51% |
+5.45% |
+5.39% |
+5.38% |
Inception Date: January 12, 2021
Cyclical |
28.95% |
2.48% |
10.33% |
13.50% |
2.64% |
6.95% |
6.95% |
17.20% |
14.51% |
2.69% |
Sensitive |
46.89% |
7.76% |
4.93% |
8.37% |
25.83% |
Portfolio Details
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* represents an International company or one without a recognizable symbol.
Portfolio Details
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