FTGC ETF Composition
General Overview
The fund is an actively managed exchange-traded fund ("ETF") that seeks to achieve attractive risk adjusted returns by investing in commodity futures contracts, exchange-traded commodity linked instruments, and commodity linked total return swaps (collectively, "Commodities Instruments") through a wholly-owned subsidiary of the fund organized under the laws of the Cayman Islands (the "Subsidiary"). The advisor expects to gain exposure to these investments exclusively by investing in the Subsidiary.
Sector & Industry | Financial Services / Asset Management - Global |
IPO date | October 23, 2013 |
FTGC Latest News
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Other Identifiers | |
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CIK | 0001561785 |
ISIN | US33739H1014 |
CUSIP | 33739H101 |
Open | 25.255 |
Previous Close | 25.13 |
Volume | 521 Thou. |
Average Volume | 535.9 Thou. |
Day’s Range | 25.255 – 25.455 |
52 Week Range | 22.215-26.015 |
MA (50) | 24.7325 |
MA (200) | 24.42895 |
Market Cap | 2.38 Bil. |
Shares Out. | 93.69 Mil. |
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