HTUS ETF ANALYSIS

Most Popular ETFs

S&P 500 ETF Trust

Nasdaq-100 Index Tracking ETF

Dow Jones Industrial Average ETF

iShares Russell 2000 ETF

iShares MSCI Emerging Markets ETF

Financial Select Sector SPDR Fund

undefined
HTUS ETF FUNDAMENTALS
HTUS ETF PERFORMANCE

HTUS ISSUER

HTUS ETF is managed by HTAA, LLC. The issuer employs proprietary analytical investment models to predict the performance of the S&P 500 Index. These models guide the fund's investment decisions, leading to long or short positions in S&P 500-related instruments. The issuer also engages in strategies involving futures contracts, options, and leveraged or inverse ETFs to achieve its investment objective.

HTUS DIVIDEND

The HTAA U.S. DIVIDEND ETF (HTUS) aims to generate returns by investing at least 80% of its net assets in securities and instruments linked to U.S. dividends. The ETF employs proprietary analytical models to predict S&P 500 Index performance and adjusts its long and short positions accordingly. Additionally, the ETF may engage in options trading and utilize leveraged or inverse ETFs to further its investment objectives. Please note that this information primarily focuses on the ETF's investment strategy and approach, not specifically on dividend distributions.

HTUS TRACKING

The Strategy Shares U.S. Market Rotation Strategy ETF (HTUS) employs a distinctive investment approach to achieve its objectives. HTUS seeks to achieve TRACKING by employing proprietary analytical investment models that assess current and historical market data to predict the performance of the S&P 500 Index, consisting of large-cap U.S. companies. Through these models, HTUS aims to make investment decisions that involve long or short positions on the S&P 500 Index and related instruments, potentially offering investors exposure to market movements and rotations with a focus on optimizing returns.

HTUS CORRELATION

The Hamilton Capital U.S. Mid-Cap Financials ETF (HTUS) exhibits a strong correlation to the performance of U.S. mid-cap financial sector companies. With a focus on securities and instruments tied to U.S. correlations, HTUS aims to provide investors with exposure to the mid-cap segment of the financial market. Through its investment strategy, which includes utilizing proprietary analytical models and engaging in transactions related to S&P 500 instruments, HTUS seeks to capture the performance trends of its target sector while managing potential market risks.

HTUS SECTOR

The HTUS ETF focuses on the U.S. equity market's performance, particularly in the large-capitalization sector. By utilizing proprietary analytical investment models, the fund aims to predict the performance of the S&P 500 Index, comprised of major U.S. sectors. The investment strategy involves long and short positions in S&P 500-related instruments, futures contracts, options on the S&P 500 Index, leveraged or inverse ETFs, and even pooled investment vehicles tied to the VIX Index, all contributing to exposure within the broad U.S. equity market sector.

HTUS EXPOSURE

The REX VolMAXX™ Long VIX Futures Strategy ETF (HTUS) aims to provide exposure to the potential gains from volatility spikes in the U.S. equity market. The fund focuses on investing in VIX futures contracts, which are based on the Chicago Board Options Exchange Volatility Index (VIX Index). By capturing the market's expectation of short-term volatility in the S&P 500 Index, HTUS offers investors a tool to potentially benefit from heightened market uncertainty and volatility events.

ETF Insider is a data-driven portfolio analytics and optimization platform that introduces a more efficient and practical way to visualize, analyze and optimize portfolios.

Rather than focusing on the surface-level attributes of ETFs and Mutual Funds, ETF Insider goes deeper by examining the underlying holdings of exchange traded products.
By organizing and structuring that data, investors can easily navigate within their overlapping layers.

This innovative perspective combined with modern data visualization and modeling tools, provides an entirely new approach to portfolio optimization that can quickly expose both portfolio inefficiencies and opportunities.

BLOG ARTICLES

ETF with Netflix Inc. and Check Point Software Technologies Ltd. Exposure (Nasdaq)
Blog book icon6 min read
By Ron Koren ETF Insider

ETF with Netflix Inc. and Check Point Software Technologies Ltd. Exposure (Nasdaq)

The ETF with Netflix Inc. and Check Point Software Technologies Ltd. Exposure (Nasdaq) exposure provides investors with an opportunity to diversify their portfolio while gaining insight into the performance and potential of Netflix Inc. and Check Point Software Technologies Ltd. Exposure (Nasdaq). This ETF offers a comprehensive view of the company's standing in the market, its historical performance, and future prospects.

How does the XLF ETF work?
Blog book icon6 min read
By Ron Koren ETF Insider

How does the XLF ETF work?

The XLF ETF is a specialized investment fund that focuses on a specific sector. This exchange-traded fund offers investors exposure to a range of companies in this sector.

What is the  HTUS ETF ?
Blog book icon5 min read
By Beqa Bumbeishvili ETF Insider

What is the HTUS ETF ?

Discovering DRN and HTUS ETFs: Unraveling the Potential of Two Prominent Investment Funds. Explore the features and advantages of DRN and HTUS ETFs as popular investment options for investors seeking diversified and growth-focused portfolios.

FREQUENTLY ASKED QUESTIONS

How can I invest in the HTUS ETF?
Question Arrow
How does the HTUS ETF operate?
Question Arrow
How has the HTUS ETF performed historically?
Question Arrow
What is the HTUS ETF?
Question Arrow
What sectors does the HTUS ETF cover?
Question Arrow
Who manages the HTUS ETF?
Question Arrow

GET STARTED NOW!

No Credit Card Required
Full Data Protection
Overlap And Correlation
Insightful Visualization
Impactful Drill-Downs
Real-Time Data Feeds
Full Coverage For The U.S.

ETF Insider is a novel portfolio optimization tool that uses the power of data visualization to gain insight into portfolio compositions, concentration risks, portfolio efficiency and more. Complex financial data can be transformed into visually appealing and easily digestible graphs and charts, allowing investors to quickly identify trends and make well-informed investment decisions. Not only does this save time, but it also increases the accuracy and effectiveness of portfolio management.