RISR

FolioBeyond Alternative Income and Interest Rate Hedge ETF

Fund Summary


The FolioBeyond Alternative Income and Interest Rate Hedge ETF  (RISR) is an actively managed exchange-traded fund (ETF) that seeks to provide diversification benefits, and helps to manage risk from interest rate volatility, while generating current income under a wide range of interest rate environments. 

  • RISR invests primarily in interest-only mortgage-backed securities (MBS IOs) and U.S. Treasury bonds.

  • MBS IOs are a negative duration security that generally benefit from rising rates.

  • MBS IOs—and Treasuries to a lesser extent —generally provide income under stable rates.

 

RISR Strategy & Positioning


RISR is a “quantamental”, actively managed, scalable strategy which is positioned as a

  • Diversifier for an existing fixed income portfolio regardless of one’s views on rates

  • Hedge for a fixed income allocation for those concerned about rising rates and who seek to shorten a portfolio’s duration without selling existing positions

  • Means of expressing a directional view for those who seek a vehicle designed to profit from rising rates

Fund Documents


⇩ Investment Case
⇩ Investment Pitchbook
⇩ Fact Sheet
⇩ Summary Prospectus
⇩ Prospectus
⇩ SAI
⇩ Semi-Annual Report
⇩ Fiscal Q1 Holdings
⇩ Fiscal Q3 Holdings
⇩ Annual Report
⇩ Tax Insert
⇩ Proxy Votes
⇩ Annual TSR
⇩ Core Financial Statement

 Fund Information


Fund NameFolioBeyond Alternative Income and Interest Rate Hedge ETF
Fund Inception9/30/2021
TickerRISR
Primary ExchangeNYSE Arca
CUSIP886364637
NAV SymbolRISR.IV
Gross Expense Ratio0.99%
30-Day SEC Yield6.42%

The Gross Expense Ratio includes Acquired Fund Fees and Expenses of 0.14%. If Acquired Fund Fees and Expenses were excluded, the Net Expense Ratio would be 0.99%.

The 30-Day SEC Yield is calculated with a standardized formula mandated by the SEC. The formula is based on the maximum offering price per share.

View Full Glossary of Terms

Fund Data and Pricing


Net Assets
NAV
Shares Outstanding
Closing Price
Premium/Discount Percentage
Median 30-Day Spread Percentage
Date10/01/2021

30-Day Median Spread is a calculation of the Fund’s median bid-ask spread, expressed as a percentage rounded to the nearest hundredth, computed by: identifying the Fund’s national best bid and national best offer as of the end of each 10-second interval during each trading day during the last 30 calendar days; dividing the difference between each such bid and offer by the midpoint of the national best bid and national best offer; and identifying the median of those values.

Performance


Month-End

Quarter-End

Year-End

Fund Ticker1M3M6MYTDSince Inception Cumulative1Y3Y5YSince Inception AnnualizedAs Of
RISR NAV3.05%21.34%19.92%21.34%19.92%----03/31/22
RISR MKT2.89%20.03%20.33%20.03%20.33%----03/31/22
Fund Ticker1M3M6MYTDSince Inception Cumulative1Y3Y5YSince Inception AnnualizedAs Of
RISR NAV3.05%21.34%19.92%21.34%19.92%----03/31/22
RISR MKT2.89%20.03%20.33%20.03%20.33%----03/31/22
Fund Ticker1M3M6MYTDSince Inception Cumulative1Y3Y5YSince Inception AnnualizedAs Of
RISR NAV0.34%-1.17%--1.17%-1.17%----12/31/21
RISR MKT-0.32%0.24%-0.24%0.24%----12/31/21
The performance data quoted represents past performance. Past performance does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than their original cost and current performance may be lower or higher than the performance quoted. Performance current to the most recent month-end can be obtained by calling (866) 497-4963. Short term performance, in particular, is not a good indication of the fund’s future performance, and an investment should not be made based solely on returns. Returns beyond 1 year are annualized. A fund’s NAV is the sum of all its assets less any liabilities, divided by the number of shares outstanding. The market price is the most recent price at which the fund was traded. The fund intends to pay out dividends and interest income, if any, monthly. There is no guarantee these distributions will be made.

Distribution Details


Fund NameEx-DateRecord DatePayable DateAmount
RISR Nav----
RISR MKT----
⇩ Premium Discount

Top 10 Holdings


Holdings subject to change

CUSIPTicker NameShares HeldMarket Value% of Net Assets
Cash&OtherCash & Other3,289,397.00$3,289,396.5811.02%
91282CDJ7UNITED STATES TREAS NTS 1.375% 11/15/20312,475,000.00$2,273,326.167.62%
3137H0Y44Freddie Mac REMICS 4.5% 10/25/20499,051,164.00$1,500,274.785.03%
3137FRWN7FHLMC REMIC SERIES 4965 4% 04/25/20506,169,245.00$1,284,040.744.30%
3137H4GK0Freddie Mac REMICS 4% 01/25/20497,141,805.00$1,236,729.954.14%
3137FXDH8FHLMC REMIC SERIES 5018 5.5% 10/25/20505,686,181.00$1,112,371.673.73%
3137FYYL4FHLMC REMIC SERIES 5104 4% 05/25/20516,165,164.00$1,104,923.163.70%
3137H1MH6FHLMC REMIC SERIES 5133 4.5% 07/25/20396,756,523.00$1,002,145.733.36%
3137F9XH9FHLMC REMIC SERIES 5070 3.5% 02/25/20515,644,429.00$993,451.683.33%
3137H3M82FHLMC REMIC SERIES 5167 4% 11/25/20515,318,267.00$995,468.963.33%
Date as of:3/24/2022