24.48 -0.25 -1.01%
03/17/2023 09:15 PM NYA


NAV

24.4774
Nav
03/13/2023
Last Update

Ratings

n/a
Morningstar Rating
n/a
Sustainability Rating

Key Data

AAM
Issuer
11.76 M
Net Asset
USD
Currency
07/11/2022
Inception
Yes
Distributing
Technology
Type
United States
Applied In
U.S. Bank N.A
Custodian
US26922B6838
ISIN
TRFM
Symbol

Asset Allocation Top Instruments

Asset Allocation Top Sectors

Asset Allocation Top Countries

Asset Allocation Top Holdings

Performance

Name %
Performance Current Year 3.37
Performance since Inception 4.40
High 1 Year 99.20
Volatility 1 Year 8.61
Sharpe Ratio 1 Year -0.23
Maximum Loss 1 Year -7.92
Name %
Average Gain 1 Year 1.46
Average Loss 1 Year -2.72
High 1 Year 99.20
Low 1 Year 90.46
Maximum Loss 1 Year -7.92
Performance Current Year 3.37
Performance since Inception 4.40
Sharpe Ratio 1 Year -0.23
Sortino Ratio 1 Year -0.29
Trailing Performance 1 Month -0.60
Trailing Performance 1 Week -0.50
Trailing Performance 3 Months 3.12
Trailing Performance 6 Months 5.15
Trailing Return 1 Month 0.86
Trailing Return 1 Year 0.61
Trailing Return 2 Months 3.61
Trailing Return 2 Years 1.08
Trailing Return 3 Months 3.72
Trailing Return 6 Months 5.19
Trailing Return 9 Months 3.00
Trailing Return Since Inception 1.76
Trailing Return YTD - Year to Date 3.61
Volatility 1 Year 8.61

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Sustainability Rating

No Rating available
Rating vs. Category
Equity
Category

Investment Policy

The investment seeks to track the total return performance, before fees and expenses, of the Pence Transformers Index. The fund uses a “passive management” (or indexing) approach to track the total return performance, before fees and expenses, of the index. The index is a rules-based index that measures the performance of U.S.-listed common equity securities, including American Depositary Receipts (“ADRs”) for foreign securities, of companies poised to benefit from a significant disruption and/or transformation of consumer behavior and technological innovation.

Terms

Initial minimum savings amount
Savings Plan No
Distribution Distributing

funds category comparison

Name 1y Perf.
IVZ Digital Gaming 2020-3 CA 14.39

Investment Trust

Name AAM
Address AAM
Zip Code 80132
Website http://www.aamlive.com/publicsite/mutual-funds