SAEF
Schwab Ariel Opportunities ETF·NYSE
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Estadísticas clave
Activos bajo administración
23.15MUSD
Flujo de fondos (1 año)
-3.52MUSD
Rentabilidad por dividendo
0.37%
Descuento/Prima a NAV
0.05%
Acciones en circulación
835.00K
costo de gestión
0.59%
sobre Schwab Ariel Opportunities ETF
Emisor
Charles Schwab Investment Management, Inc.
Marca
Schwab
Página de inicio
Fecha de emisión
Nov 16, 2021
estructura
Open-Ended Fund
índice de seguimiento
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Estilo de gestión
Active
Tratamiento de dividendos
Distributes
Tratamiento fiscal de distribución
Qualified dividends
Tipo de impuesto sobre la renta
Capital Gains
Máximo rendimiento del capital a corto plazo
39.60%
Máximo rendimiento del capital a largo plazo
20.00%
Primary Advisor
Charles Schwab Investment Management, Inc.
Distributor
SEI Investments Distribution Co.
SAEF is the first active ETF and first ESG offering from Schwab. The fund uses the proprietary ESG research of its sub-adviser to build a portfolio of small- and mid-cap US stocks. The sub-adviser initially considers company valuation and screens for fundamental characteristics that enable capital appreciation. A proprietary risk-rating based on various ESG criteria is then assigned to each prospective holding. The sub-adviser screens out companies that derive significant revenue from controversial business activities such as those involving tobacco, fossil fuels, private prisons, firearms, and weapons. However, the fund adviser has the discretion to manage a portion of the assets, which may not utilize the sub-adviser's ESG risk rating. SAEF only discloses its full holdings quarterly, with a 60-day lag. A 'tracking basket' is published daily on its website, in place of the actual portfolio.
Classification
Asset Class
Equity
Category
Size and Style
Focus
Extended Market
Niche
Broad-based
Strategy
Active
Geografía
U.S.
Esquema de ponderación
Proprietary
Criterios de selección
Proprietary
Análisis
Sector
Consumidor Cíclico
22.39%
Industria
20.40%
Servicios financieros
16.30%
Tecnología
14.23%
Atención sanitaria
10.19%
Servicios de comunicación
6.53%
Bienes raíces
4.74%
Defensa del consumidor
2.79%
Materiales Básicos
2.43%
Consumidor Cíclico
22.39%
Industria
20.40%
Servicios financieros
16.30%
Tecnología
14.23%
Atención sanitaria
10.19%
Servicios de comunicación
6.53%
Bienes raíces
4.74%
Defensa del consumidor
2.79%
Materiales Básicos
2.43%
Activo
Posición
Signatura
Relación
OSW
Onespaworld Holdings
5.07%
BCO
The Brink's
4.68%
LIND
Lindblad
4.36%
NCLH
Norwegian Cruise
4.06%
JLL
Jones Lang LaSalle
3.34%
Signatura
Relación
NTRS
Northern Trust
2.75%
REZI
Resideo Technologies
2.71%
FAF
First American Financial
2.70%
SPHR
Sphere
2.58%
PBH
Prestige Consumer Healthcare
2.38%
Top 10 de peso 34.62%
59 Tenencia total
Ver todas las participaciones
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