AGOX ETF ANALYSIS

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AGOX ETF FUNDAMENTALS
AGOX ETF PERFORMANCE

AGOX ISSUER

The AGOX ETF is managed as an actively managed exchange-traded fund that aims to achieve capital appreciation through a diversified investment approach. The portfolio manager selects a mix of exchange-traded funds (ETFs) registered under the Investment Company Act of 1940 and not affiliated with the Fund, as well as individual large-cap equities and fixed income securities. In addition to its indirect investments, the AGOX ETF may utilize put and call options on index ETFs, sector ETFs, individual equities, and cash equivalents as part of its risk management strategy. The fund's diversified approach seeks to capture potential growth opportunities across various sectors and countries, including emerging market countries, while employing a risk management strategy to navigate market volatility and downside protection.

AGOX DIVIDEND

The AGFiQ Global Infrastructure ETF (AGOX) offers investors exposure to global infrastructure assets, and while its primary focus isn't on dividends, it can reflect the dividend distributions of the underlying holdings. Infrastructure assets often generate steady income through dividends, which can contribute to the overall returns of the ETF. As AGOX seeks to provide investors with exposure to global infrastructure companies, it may offer dividend returns alongside potential capital appreciation.

AGOX TRACKING

The AGFiQ U.S. Market Neutral Anti-Beta Fund (AGOX) employs a unique strategy known as the anti-beta approach. Instead of aiming to track a specific index, AGOX focuses on providing exposure to the anti-beta factor, which involves constructing a portfolio of long and short positions in U.S. stocks. This strategy seeks to capture the spread between low-beta and high-beta stocks, potentially offering investors a way to profit from market inefficiencies related to beta, a measure of a stock's sensitivity to market movements.

AGOX CORRELATION

Understanding the correlation of the AGOX ETF is vital in comprehending its behavior relative to the broader market. AGOX, like other exchange-traded funds, exhibits correlations with different assets and sectors that can impact investment decisions. To facilitate the study of correlations and provide insightful data, our tool ETF Insider offers a web app with a user-friendly visualization tool. This tool enables investors to delve into the correlations of various US ETFs, uncovering overlaps and gaining valuable insights for portfolio management and decision-making.AGOX Sector

AGOX SECTOR

The AGFiQ U.S. Market Neutral Anti-Beta ETF (AGOX) operates in a sector-neutral manner with the goal of capturing the spread between low-beta and high-beta stocks in the U.S. equity market. This approach aims to minimize the impact of overall market movements and focuses on exploiting differences in stock volatility. By providing investors with a tool to potentially profit from stock volatility discrepancies, AGOX allows for a unique way to navigate market fluctuations.AGOX Exposure

AGOX EXPOSURE

The exposure profile of the AGOX ETF is centered around an actively managed investment approach that targets capital appreciation. AGOX leverages a combination of exchange-traded funds (ETFs), equities, and fixed income securities from various market capitalizations and countries around the world, including emerging markets. This diverse exposure strategy, coupled with the use of risk management techniques and the incorporation of options and hedging overlays, aims to navigate market trends and enhance returns while managing potential risks.

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