Comments
Loading...

Tidal Trust II Cambria Chesapeake Pure Trend ETF

MFUTBATS
Logo présenté par Benzinga Data
$14.35
-0.07-0.49%
À la fermeture: -
Sector
Unknown
Region
US
AUM
-
Fund Score

Tidal Trust II Cambria Chesapeake Pure Trend ETF (BATS:MFUT) Cotations, prévisions et résumé des actualités

Tidal Trust II Cambria Chesapeake Pure Trend ETF (BATS: MFUT) cours de l'action, actualités, graphiques, recherche sur l'action, profil.

Ouverture$14.40
Haut$14.45
Plus Haut 52 Sem.$20.47
AUM-
Dividende-
Date Ex-Div-
Volume14.43K
Capitalisation Boursière-
Frais de Gestion0.59%
Ratio P/E-
Clôture Précédente$14.42
Bas$14.33
Plus Bas 52 Sem.$13.00
Actions en Circulation-
Rendement-
Fréq. Div.-
Moy. Volume quotidien28.31K
Bêta-0.46
Moy. Ratio de dépensesNA%
Ratio P/B-

Actualités récentes

Aucune actualité trouvée

FAQ

Q

Comment acheter des actions Tidal Trust II Cambria Chesapeake Pure Trend ETF (MFUT) ?

A

Vous pouvez acheter des actions de Tidal Trust II Cambria Chesapeake Pure Trend ETF (BATS:MFUT) via n'importe quel courtier en ligne.

Consultez notre liste des meilleures sociétés de courtage en actions

Q

Qui sont les concurrents de Tidal Trust II Cambria Chesapeake Pure Trend ETF (MFUT) ?

A

Il n'y a pas de concurrents pour Tidal Trust II Cambria Chesapeake Pure Trend ETF.

Q

Quelle est la prévision ou l'objectif de prix pour les actions de Tidal Trust II Cambria Chesapeake Pure Trend ETF (MFUT)?

A

Il n'y a aucune analyse pour ({quoteName}} pour fournir un objectif de prix consensuel.

Q

Prix actuel des actions pour Tidal Trust II Cambria Chesapeake Pure Trend ETF (MFUT) ?

A

Le prix des actions pour Tidal Trust II Cambria Chesapeake Pure Trend ETF (BATS: MFUT) est de $14.35 dernièrement mis à jour 28 mai 2025 à 20:00 UTC−4.

Q

Tidal Trust II Cambria Chesapeake Pure Trend ETF (MFUT) paie-t-il un dividende ?

A

Il n'y a pas de dividendes à venir pour Tidal Trust II Cambria Chesapeake Pure Trend ETF.

Q

Quand Tidal Trust II Cambria Chesapeake Pure Trend ETF (BATS:MFUT) va-t-il publier ses résultats ?

A

Tidal Trust II Cambria Chesapeake Pure Trend ETF n'a pas de bénéfices à venir prévus.

Q

Tidal Trust II Cambria Chesapeake Pure Trend ETF (MFUT) va-t-il se scinder ?

A

Il n'y a pas de division à venir pour Tidal Trust II Cambria Chesapeake Pure Trend ETF.

Ouverture$14.40
Haut$14.45
Plus Haut 52 Sem.$20.47
AUM-
Dividende-
Date Ex-Div-
Volume14.43K
Capitalisation Boursière-
Frais de Gestion0.59%
Ratio P/E-
Clôture Précédente$14.42
Bas$14.33
Plus Bas 52 Sem.$13.00
Actions en Circulation-
Rendement-
Fréq. Div.-
Moy. Volume quotidien28.31K
Bêta-0.46
Moy. Ratio de dépensesNA%
Ratio P/B-
À propos de Tidal Trust II
Secteur
N/A
Industrie
N/A
ETF Details
SectorUnknown
Category-
Investment StyleAllocation/Balanced
Fund Inceptionsept. 13, 2021
Managers
Mebane T. Faber
Definition-
Investment Policy
The Fund is an actively managed exchange traded fund (ETF) that seeks to achieve positive total returns in rising or falling markets that are not directly correlated to broad market equity or fixed income markets. The Fund intends to invest using proprietary investment strategies that seek to identify and profit from upcoming movements in any combination of global fixed income, currency, commodity, or equity markets. The Fund seeks to capture the economic benefit derived from rising and declining trends based on the moving average price changes in the commodity, foreign currency, equity and fixed income markets by taking long or short positions in related futures contracts, currency forwards and swaps. Moving average refers to the average closing price of a security over a specified period of time, and moving average returns may be used to compare returns over short- and long-term periods. The Fund generally will take a long position in a particular asset class, sector or market that the Funds investment adviser, Cambria Investment Management, L.P. (Cambria or the Adviser), expects to rise in value and generally will take a short position in a particular asset class, sector or market that Cambria expects to fall in value. Cambria sets both the long-term strategic weights across individual strategies, or group of strategies, as well as short-term tactical weightings, which may deviate from long-term strategic weights due to short-term market risks or opportunities. Cambria will employ both quantitative and qualitative methods to assess and manage the level of risk and to seek to improve returns of the Fund over time. Cambria in its discretion may establish long positions in excess of its short positions, and short positions in excess of its long positions; however, the Funds short positions will be fully covered consistent with applicable law at all times.