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Fetching the latest fund profile, holdings, and market data.
Chicago Board Options Exchange · Equity
$186.71
+$1.66 · +0.90%
· Aug 21, 3:59 PM ET
$186.71
Previous close+$1.66 · +0.90%
· Aug 21, 3:59 PM ET
$186.71
+$1.66 · +0.90%
Regular session · ET · Market data may be delayed.
The fund's advisor utilizes a systematic, data-driven quantitative framework to analyze U.S. common stocks, building an equity portfolio specifically designed to capture exposure to various investment factors. The process begins with an initial filter that eliminates the most volatile securities from the investment universe. Subsequently, stocks are selected based on an equally weighted composite score derived from three targeted factors: momentum, which identifies companies demonstrating strong recent price performance; quality, focusing on businesses with robust fundamental health; and value, selecting stocks trading at attractive prices relative to their underlying financial metrics. This approach yields a highly diversified portfolio consisting of hundreds of individual holdings, encompassing a broad range of market capitalizations—including large, mid, and small-cap companies—as well as various economic sectors and distinct industry groups, thereby minimizing stock-specific risks. The portfolio undergoes periodic rebalancing to ensure sustained alignment with its intended factor exposures. The primary investment objective is to achieve long-term capital growth. Generally, a minimum of 80% of the fund's assets will be allocated to equity securities issued by U.S. corporations. Specifically, the Value factor is determined using metrics such as book value-to-price, forward earnings-to-price, and operating cash flows-to-price (for non-financial firms). Momentum is assessed via total returns over the T-12 to T-1 month period and the T-7 to T-1 month period, in addition to the intercept from a one-year regression of stock returns against their regional benchmark. For financial companies, the Quality factor is gauged by return on equity and share issuance, while for non-financial companies, it involves return on equity, gross profitability, changes in net operating assets, and leverage. The initial volatility screen systematically removes the 20% most volatile names within each market capitalization tier and applies this equally across all sectors.
Fund assets
904.6M USD
Expense ratio
0.18%
NAV
$186.76
Average volume
38.38K
Volume
51.51K
Day range
$186.65 – $187.1
52-week range
$139.3 – $188.07
Previous close
$185.05
Price change
1 day
+0.90%
1 month
+3.81%
3 months
+9.41%
Year to date
+23.88%
1 year
+32.19%
3 years
+77.51%
5 years
+84.46%
Price changes exclude distributions, fees, taxes, and investor-specific cash flows.
Portfolio
Holdings data updated Aug 23, 2026.
Portfolio composition
Fund income
Jun 24, 2026
Quarterly
Jun 24, 2026
Jun 26, 2026
$0.6819
Mar 24, 2026
Quarterly
Mar 24, 2026
Mar 26, 2026
$0.6495
Dec 23, 2025
Quarterly
Dec 23, 2025
Dec 26, 2025
$0.6413
Sep 24, 2025
Quarterly
Sep 24, 2025
Sep 26, 2025
$0.4716
Jun 20, 2025
Quarterly
Jun 20, 2025
Jun 24, 2025
$0.6068
Mar 25, 2025
Quarterly
Mar 25, 2025
Mar 27, 2025
$0.603
Dec 23, 2024
Quarterly
Dec 23, 2024
Dec 26, 2024
$0.5955
Sep 26, 2024
Quarterly
Sep 26, 2024
Sep 30, 2024
$0.5166
Jun 27, 2024
Quarterly
Jun 27, 2024
Jul 1, 2024
$0.5609
Mar 21, 2024
Quarterly
Mar 22, 2024
Mar 26, 2024
$0.4223
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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.