FIG holds a long bias cross-asset portfolio consisting of fixed income, US equity, and alternative ETFs. The portfolio aims to provide more consistent equity-like returns with less risk. To create the portfolio, the fund uses a strategy based on macroeconomic analysis on the national, regional, and global scale. Exposure may include commodities and futures, VIX short-term futures, or high-yield related fixed income and high-income generating ETFs. FIG may allocate up to 20% of its assets in derivatives including equity, treasury, commodity, and currency futures, exchange-traded or over-the-counter put and call options, and total return swaps. The options overlay is a strategic, persistent exposure meant to leverage exposure or partially hedge against market declines. The fund utilizes a Cayman Island subsidiary to execute a portion of its alternative strategy and derivatives overlay.
公司网站 :
https://www.simplify.us/etfs/fig-simplify-macro-strategy-etf
总经理:-
建立时间:2022
公司总部:Simplify Exchange Traded Funds Simplify Macro Strategy ETF
领域:Miscellaneous
行业:Investment trusts/Mutual funds