ETF Information
The fund seeks to provide daily investment results that reflect the combined daily performance of the underlying funds. Under normal market conditions, the fund seeks to achieve its investment objective generally by investing equally in shares of each underlying fund and, to a lesser extent, cash equivalents.
Net Asset Value (NAV): ⓘ USD 25.76
Assets Under Management (AUM): 11,173,801.0
ETF Company: None
Exchange: New York Stock Exchange Arca
Exchange Short Name: AMEX
Average Volume: 3,174
Holdings Count: 6
ISIN: US88166A7063
CUSIP: 88166A706
Inception Date: 2012-03-28
Asset Class: Equity
Domicile: US
Expense Ratio: 0.13