GLOBAL BETA LOW BETA ETF
GLOBAL BETA LOW BETA ETF
ETF · US37959X2099 (ARCX)
Overview
No Price
n/a
Share Float & Liquidity
Free Float -
Shares Float -
Shares Outstanding 219.405,00
Asset Allocation
AssetPercentage %
Stock US99,91 %
Cash0,09 %
NotClassified0,00 %
Stock non-US0,00 %
Other0,00 %
Bond0,00 %
Largest Positions
SymbolISINNamePercentage %
KRThe Kroger Co 5,72 %
COSTCostco Wholesale Corporation 5,70 %
WMTWalmart Inc 5,18 %
ABCAmerisourceBergen Corporation 4,84 %
CVSCVS Health Corporation 4,75 %
TAT&T Inc 4,53 %
VZVerizon Communications Inc 4,46 %
TGTTarget Corporation 3,51 %
JNJJohnson & Johnson 3,26 %
PGThe Procter & Gamble Company 2,87 %
Region Distribution
RegionPercentage %
North America100,00 %
Africa/Middle East0,00 %
Asia Developed0,00 %
Asia Emerging0,00 %
Australasia0,00 %
Europe Developed0,00 %
Europe Emerging0,00 %
Japan0,00 %
Latin America0,00 %
United Kingdom0,00 %
Sector Distribution
SectorPercentage %
Basiskonsumgüter36,22 %
Gesundheitswesen27,66 %
Telekommunikation11,34 %
Versorgungsunternehmen8,28 %
Industrieunternehmen7,43 %
Finanzdienstleistungen3,83 %
Verbrauchsgüter2,56 %
Technologie1,62 %
Immobilien1,02 %
Energie0,05 %
Company Profile for GLOBAL BETA LOW BETA ETF ETF
The target index is comprised of equity securities of U.S. companies from the S&P 500 in the lowest quintile (i.e., the lowest 20% of the S&P 500) based on their twelve month trailing beta relative to the S&P 500. The fund may use either a replication strategy or representative sampling strategy in seeking to track the performance of the target index. It will primarily invest in U.S. companies that are included in the target index. The fund is non-diversified.
Get up to date insights from finAgent about GLOBAL BETA LOW BETA ETF
Fund Master Data
Issuer Global Beta
Asset Class ETF
Name Global Beta Low Beta ETF
Fund Currency USD
Category Large Value
Fund Key Figures
Fund Size 1.187,78 EUR
Investment Strategy
The investment seeks to track the performance (before fees and expenses) of the Global Beta Low Beta Factor Index (the target index). The target index is comprised of equity securities of U.S. companies from the S&P 500 in the lowest quintile (i.e., the lowest 20% of the S&P 500) based on their twelve month trailing beta relative to the S&P 500. The fund may use either a replication strategy or representative sampling strategy in seeking to track the performance of the target index. It will primarily invest in U.S. companies that are included in the target index. The fund is non-diversified.

Company Data

Name GLOBAL BETA LOW BETA ETF
Company Global Beta Low Beta ETF
Primary Exchange ARCX NYSE
ISIN US37959X2099
Asset Class ETF
Sector Financial Services
Industry Asset Management
Country United States of America
Currency USD
Employees -
IPO Date 2020-07-23

Ticker Symbols

Name Symbol
AMEX GBLO
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