正在載入 ETF 研究
正在取得最新的基金概況、持股和市場資料。
Chicago Board Options Exchange · Asset allocation
US$90.43
US$0.00 · 0.00%
· 8月24日 上午10:36 ET
US$90.43
一般交易時段US$0.00 · 0.00%
· 8月24日 上午10:36 ET
US$90.43
US$0.00 · 0.00%
盤中時間採用ET。市場資料可能有所延遲。
CAOS seeks to actively earn positive returns during periods of significant US equity drawdowns while minimizing the return drag of collateral. The fund allocates up to 20% of assets in long and/or short SPX Index options, depending on market status. Between 1-10% is allocated to protective options positioned to appreciate in value when the index declines by more than 25%, which is considered to be a tail risk event. If a tail risk event does not occur, the cost of the protective positions will reduce returns. The remaining 70-80% of the portfolio is collateral consisting of US T-bills, box spreads, and money market instruments. Up to 100% of the collateral may be placed with the BOXX ETF that uses box spreads to provide the exposure of 1-3 month T-bills. The strategy involves frequent trading which increases costs and turnover rate, both having negative impacts on the fund. CAOS operated as a mutual fund until its conversion into an ETF, starting with $126 million in net assets.
基金資產
7.1億 USD
費用率
0.63%
NAV
US$90.41
平均成交量
5.08萬
成交量
4934
當日區間
US$90.43 – US$90.48
52 週區間
US$89.21 – US$90.97
前收盤價
US$90.43
價格變動
1 天
0.00%
1 個月
-0.14%
3 個月
-0.10%
今年以來
+0.72%
1 年
+1.22%
3 年
+11.24%
5 年
+17.47%
價格變動不包括配息、費用、稅費及投資人特定的現金流。
投資組合構成
最新報導
目前暫無可用的 ETF 新聞。
更多基金
在 GoAI 中繼續
結合更廣泛的市場背景,在 GoAI 中繼續研究此 ETF。
ETF 資料可能延遲、不完整或被修訂。持股和曝險會隨時間變化。歷史表現不保證未來結果。本頁面僅供資訊和教育用途,不構成投資建議或推薦。