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New York Stock Exchange Arca · Equity
US$29.35
+US$0.11 · +0.38%
· 8月21日 16:00 ET
US$29.35
前收盘价+US$0.11 · +0.38%
· 8月21日 16:00 ET
US$29.31
+US$0.07 · +0.24%
盘中时间采用ET。市场数据可能有所延迟。
The KMLM fund strives for overall capital appreciation by strategically employing both long and short positions, informed by daily trading signals, across futures contracts in commodities, currencies, and global fixed income. For tax efficiency, KMLM accesses futures markets through a wholly-owned subsidiary situated in the Cayman Islands, rather than holding the contracts directly. Annually, an index committee selects 22 distinct futures contracts from these three broad asset categories. The weighting assigned to each of the three categories is determined by their historical volatility, with all contracts within a chosen category being equally weighted. The portfolio is rebalanced on a monthly basis, and contracts are rolled over on a market-specific schedule as they approach expiration. The fund also has the discretion to invest in instruments not part of the index, including equities or various derivatives such as swaps, forwards, structured notes, and options. Historically, the fund was actively managed before April 1, 2022, and was known as the KFA Mount Lucas Index Strategy ETF until November 10, 2022. A future rebranding is scheduled for August 1, 2024, at which point "KFA" will be replaced by "KraneShares" in the fund's name.
基金资产
3.93亿 USD
费用率
0.90%
NAV
US$29.31
平均成交量
29.12万
成交量
21.44万
当日区间
US$29.27 – US$29.40
52 周区间
US$25.77 – US$30.17
前收盘价
US$29.24
价格变动
1 天
+0.38%
1 个月
-0.91%
3 个月
+0.44%
年初至今
+13.10%
1 年
+9.51%
3 年
-5.23%
5 年
+3.93%
价格变动不包括分派、费用、税费及投资者特定的现金流。
投资组合
持仓数据更新于 2026年8月23日。
最新报道
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ETF 数据可能延迟、不完整或被修订。持仓和敞口会随时间变化。历史表现不保证未来结果。本页面仅供信息和教育用途,不构成投资建议或推荐。