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Avantis Core Fixed Income ETF

AVIGARCA
$41.15
-0.11-0.25%
At Close: -
15 minutes delayed
Sector
Unknown
Region
US
AUM
744.39M
Fund Score

Avantis Core Fixed Income ETF (ARCA:AVIG) Quotes, Forecast and News Summary

Avantis Core Fixed Income ETF (ARCA: AVIG) stock price, news, charts, stock research, profile.

Open$41.14
High$41.18
52 Wk High42.01
AUM744.39M
Dividend$1.81
Ex-Div DateJul 1, 2024
Volume42.76K
Market Cap-
Mgmt Fee0.15%
P/E Ratio-
Prev. Close$41.26
Low$41.14
52 Wk Low38.53
Shares Out17.50M
Yield4.40%
Div. FreqMonthly
Avg. Volume Daily79.31K
Beta0.30
Avg. Expense Ratio0.15%
P/B Ratio-

Recent News

No news found

FAQ

Q

How do I buy Avantis Core Fixed Income ETF (AVIG) stock?

A

You can purchase shares of Avantis Core Fixed Income ETF (ARCA:AVIG) through any online brokerage.

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Q

Who are Avantis Core Fixed Income ETF (AVIG) competitors?

A

There are no as such competitors for Avantis Core Fixed Income ETF.

Q

What is the target price for Avantis Core Fixed Income ETF (AVIG) stock?

A

There is no analysis for Avantis Core Fixed Income ETF.

Q

What is the forecast for Avantis Core Fixed Income ETF (AVIG) stock?

A

There is no analysis for Avantis Core Fixed Income ETF to provide a consensus price target.

Q

Current stock price for Avantis Core Fixed Income ETF (AVIG)?

A

The stock price for Avantis Core Fixed Income ETF (ARCA: AVIG) is $41.15 last updated Today at July 19, 2024 at 4:10 PM EDT.

Q

Does Avantis Core Fixed Income ETF (AVIG) pay a dividend?

A

There are no upcoming dividends for Avantis Core Fixed Income ETF.

Q

When is Avantis Core Fixed Income ETF (ARCA:AVIG) reporting earnings?

A

Avantis Core Fixed Income ETF does not have any upcoming earnings scheduled.

Q

Is Avantis Core Fixed Income ETF (AVIG) going to split?

A

There is no upcoming split for Avantis Core Fixed Income ETF.

ETF Details
SectorUnknown
CategoryLow Performer-Low Growth
Investment StyleIntermediate Term High Quality
Fund InceptionOct 13, 2020
Managers
Daniel Ong
Mitchell Handa
Hozef Arif
Eduardo Repetto
DefinitionCompanies with inferior financial performance and low growth potential dominate this Equity Fund's portfolio
Investment Policy
The fund invests primarily in investment grade quality debt obligations from a diverse group of US and non-US issuers. The fund's investment process uses an analytical framework, which includes an assessment of securities expected income and capital appreciation, to seek securities with high expected returns. The portfolio managers categorize securities within the fund's investment universe into component groups based on factors such as industry sector, credit rating, duration, country, and currency. The portfolio managers then calculate the expected return implied by the yield curve of each component group, while considering valuation metrics such as yield, duration, and option adjusted spreads. Finally, the portfolio managers adjust the portfolio to arrive at position weightings for each component group with the goal of building a portfolio with enhanced expected return.