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WBND

ETF
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Performance overview

WBND Price
Price Chart

Forward-looking statistics

Beta
0.04
Risk
7.17%

Detailed forecast

[disclaimer]

Individual forecast components (weighted-sum)

Fund Profile

Under normal market conditions, the fund will seek its investment objective by investing at least 80% of its assets in a portfolio comprised of fixed income securities, debt instruments, derivatives, equity securities of any type acquired in reorganizations of issuers of fixed income securities or debt instruments ("work out securities"), non-convertible preferred securities, warrants, cash and cash equivalents, foreign currencies, and exchange-traded funds ("ETFs") that provide exposure to these investments.

Fund info

Under normal market conditions, the fund will seek its investment objective by investing at least 80% of its assets in a portfolio comprised of fixed income securities, debt instruments, derivatives, equity securities of any type acquired in reorganizations of issuers of fixed income securities or debt instruments ("work out securities"), non-convertible preferred securities, warrants, cash and cash equivalents, foreign currencies, and exchange-traded funds ("ETFs") that provide exposure to these investments.

Investing methodActively Managed
DiversifiedYes
Expense ratio0.40%
Asset classUnknown

Top holdings

United States Treasury Bonds1.69%
Mexico (United Mexican States)1.52%
United States Treasury Notes1.41%
Federal Home Loan Mortgage Corp.1.39%
Government National Mortgage Association1.34%
Federal National Mortgage Association1.31%
Other91.34%

Sector exposure

Financials8.41%
Consumer Discretionary1.73%
Health Care1.71%
Energy0.98%
Communication Services0.80%
Consumer Staples0.72%
Industrials0.60%
Information Technology0.44%
Materials0.12%
Other84.49%

Country exposure

United States83.18%
Mexico4.95%
United Kingdom1.52%
Netherlands1.52%
Brazil1.31%
Switzerland1.22%
South Africa1.00%
Colombia0.93%
Japan0.87%
Other3.50%

Company info

Sector—
Industry—
Website—
AUM—

Security info

ExchangeNASDAQ
Type of shareN/A
Earnings per share (EPS)—
Dividend per share—
Revenue per share—
Avg trading volume (30 day)—
Avg trading volume (10 day)—
Put-call ratioN/A

Macro factor sensitivity

Growth-1.4
Credit+1.8
Liquidity-0.2
Inflation-1.4
Commodities-0.3
Interest Rates-0.8

Upcoming events

Next earnings day—
Next dividend day—
Ex. dividend day—

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