正在加载 ETF 研究
正在获取最新的基金概况、持仓和市场数据。

NASDAQ Global Market · Equity
US$28.58
−US$0.1036 · -0.36%
· 8月24日 11:58 ET
US$28.58
常规交易时段−US$0.1036 · -0.36%
· 8月24日 11:58 ET
US$28.58
−US$0.1036 · -0.36%
盘中时间采用ET。市场数据可能有所延迟。
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.
基金资产
4908万 USD
费用率
1.05%
NAV
US$28.78
平均成交量
1.43万
成交量
1622.75
当日区间
US$28.4801 – US$28.59
52 周区间
US$22.795 – US$29.20
前收盘价
US$28.6836
价格变动
1 天
-0.36%
1 个月
+4.08%
3 个月
+6.92%
年初至今
+14.78%
1 年
+14.41%
3 年
+14.41%
5 年
+14.41%
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24日。
投资组合构成
最新报道
目前暂无可用的 ETF 新闻。
更多基金
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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。