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Chicago Board Options ExchangeEquity
Previous close
$25.33
−$0.025 · -0.10%
Sep 15, 11:42 AM ET
Regular session · ET · Market data may be delayed.
FPAA seeks risk-adjusted returns by investing across both equity and fixed-income markets through underlying funds, but may also invest directly in securities. The fund generally allocates at least 50% of its assets to global equities, including emerging-market companies. Its fixed-income exposure may include government and corporate bonds, MBS, ABS, convertibles, loans, structured notes, inflation-linked bonds, and high-yield bonds. The adviser uses proprietary quantitative and qualitative research to evaluate factors such as equity valuations, credit spreads, and overall market risk-reward conditions in determining asset allocation and security selection. This approach allows FPAA to adjust exposure during periods of market volatility, capturing changing opportunities while managing risk. The fund may experience a high portfolio turnover rate due to active and frequent trading.
Fund assets
21.17M USD
Expense ratio
1.33%
NAV
$25.35
Average volume
19.54K
Volume
2.24K
Day range
$25.25 – $25.94
52-week range
$24.43 – $27.82
Previous close
$25.355
Price change
1 day
-0.10%
1 month
-2.31%
3 months
+1.60%
Year to date
+2.97%
1 year
+2.97%
3 years
+2.97%
5 years
+2.97%
Price changes exclude distributions, fees, taxes, and investor-specific cash flows.
Portfolio
Holdings data updated Sep 15, 2026.
Portfolio composition
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ETF data may be delayed, incomplete, or revised. Holdings and exposures change over time. Historical performance does not guarantee future results. This page is for informational and educational purposes only and does not constitute investment advice or a recommendation.