SNAV
Mohr Sector Nav ETF
📎 Investment Objective
The Mohr Sector Nav ETF (SNAV) seeks to provide exposure to a diversified portfolio of sectors and industries.
Overview
ETF tracking Mohr Sector Nav ETF
Performance
Price Chart
Investment Summary
📎 Investment Objective
The Mohr Sector Nav ETF (SNAV) seeks to provide exposure to a diversified portfolio of sectors and industries.
🎯 Investment Strategy
The fund aims to achieve its objective by investing in a combination of other exchange-traded funds (ETFs) that provide exposure to various sectors of the economy. The fund's portfolio is actively managed to maintain a balanced exposure across different sectors.
✨ Key Features
- Diversified sector exposure through a portfolio of other ETFs
- Active management to maintain a balanced sector allocation
- Low expense ratio of 0.00%
- Limited performance history due to the fund's recent inception
⚠️ Primary Risks
- Market risk: The value of the fund's holdings may fluctuate due to general market conditions
- Sector concentration risk: The fund's performance may be more volatile due to its focus on specific sectors
- Underlying fund risk: The fund's performance is dependent on the performance of the underlying ETFs it invests in
- Liquidity risk: The fund may have difficulty buying or selling certain holdings, which could affect its price
👤 Best For
The Mohr Sector Nav ETF may be suitable for investors seeking broad sector exposure and diversification within a single fund. However, due to the limited performance history, the fund may be more appropriate for investors with a higher risk tolerance and a longer investment horizon.