AVIV ISSUER
The issuer of the AVIV ETF, a diversified international equity fund, focuses on constructing a portfolio of non-U.S. companies across various countries, market sectors, and industry groups. Their investment strategy involves emphasizing securities with higher profitability and value characteristics while underweighting or excluding those with lower expected returns. The portfolio managers of AVIV actively manage the fund, assessing market and financial data to make informed decisions and construct a broadly diversified portfolio with exposure to large capitalization companies and a significant allocation to securities of issuers located outside the United States.
AVIV DIVIDEND
The AVIV International Equity Opportunities ETF seeks to provide investors with exposure to non-U.S. companies across various countries, sectors, and industries. With an active management approach, the fund aims to emphasize securities of companies exhibiting higher profitability and value characteristics, while underweighting or excluding securities expected to have lower returns. Additionally, the fund allocates a significant portion of its assets to securities of companies located outside the United States, potentially enhancing its global dividend potential and offering investors the opportunity to benefit from international dividends.
AVIV TRACKING
The AVIV ETF focuses on actively managing investments in a diverse range of non-U.S. companies across various countries, markets, and industry groups. The fund employs an enhanced emphasis on securities with higher profitability and value characteristics, aiming to achieve higher returns. AVIV's portfolio managers utilize a combination of financial data, market metrics, and fundamental ratios to select and allocate securities, thereby providing investors with a comprehensive TRACKING strategy for accessing international markets.
AVIV CORRELATION
The AVIV Global Value Momentum ETF seeks to achieve its investment objective by investing in a diversified group of non-U.S. companies across various countries, market sectors, and industry groups. The fund aims to identify companies with higher profitability and value characteristics, emphasizing securities that exhibit strong performance indicators. With a focus on large capitalization companies and an allocation to international markets, AVIV aims to provide investors exposure to global value and momentum factors, potentially leading to a distinct correlation profile compared to other ETFs focused solely on U.S. equities.
AVIV SECTOR
The AVIV ETF focuses on investing primarily in non-U.S. companies across various countries, market sectors, and industry groups. The fund seeks securities of companies with higher profitability and value characteristics while underweighting or excluding securities with lower expected returns. With an emphasis on adjusted book/price ratio and adjusted cash from operations to book value ratio, the AVIV ETF maintains a diversified portfolio to capture potential gains from the broad set of non-U.S. companies within its chosen sector.
AVIV EXPOSURE
The AVIV ETF aims to provide exposure to a diverse selection of non-U.S. companies across various countries, markets, and industries. With a focus on identifying securities that exhibit higher profitability and value characteristics, the fund seeks to overweight companies with stronger financials and underweight or exclude those with lower expected returns. The AVIV ETF allocates a significant portion of its assets to equity securities of large capitalization companies, while also investing a substantial portion in securities located outside the United States, distributing its investments among multiple foreign countries.