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Fetching the latest fund profile, holdings, and market data.

NASDAQ Global Market · Equity
$28.6836
+$0.1936 · +0.68%
· Aug 21, 4:00 PM ET
$28.6836
Previous close+$0.1936 · +0.68%
· Aug 21, 4:00 PM ET
$28.68
+$0.19 · +0.67%
Regular session · ET · Market data may be delayed.
PRMR seeks to provide sector exposure broadly comparable to the S&P 500 while aiming to outperform the index. The fund typically holds 2080 positions, blending core S&P 500 constituents with select ETFs and non-index equities to capitalize on perceived strengths, manage risk, and adapt to market conditions. Security selection combines top-down macroeconomic and sector analysis with bottom-up company research, supported by a multi-factor model that evaluates valuation, growth, quality, and momentum. Additionally, it also integrates fundamental and technical analysis with quantitative models that assess financial strength, earnings potential, industry dynamics, and management quality. Sector weights are reviewed quarterly. Although primarily invested in US large-cap equities, the fund may include companies of any market capitalization. Holdings are continuously monitored and adjusted when valuations become unattractive, fundamentals weaken, or more compelling opportunities arise.
Fund assets
49.08M USD
Expense ratio
1.05%
NAV
$28.78
Average volume
14.32K
Volume
5.9K
Day range
$28.59 – $28.69
52-week range
$22.795 – $29.20
Previous close
$28.49
Price change
1 day
+0.68%
1 month
+4.46%
3 months
+7.31%
Year to date
+15.20%
1 year
+14.83%
3 years
+14.83%
5 years
+14.83%
Price changes exclude distributions, fees, taxes, and investor-specific cash flows.
Portfolio
Holdings data updated Aug 23, 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.