Basics |
Tortoise North American Pipeline ETF The investment seeks to outperform its benchmark, the Bloomberg Barclays Capital Intermediate Government/Credit Index, measured over an entire market cycle, while maintaining key risks (interest rate risk, credit risk, structure risk, and liquidity risk) similar to the benchmark.
Under normal market conditions, the fund invests at least 80% of its net assets (plus any borrowings for investment purposes) in fixed income securities. It invests primarily in investment grade fixed income securities. The average-dollar weighted maturity of the securities in which the fund is expected to invest will generally range from 3 to 8 years.
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IPO Date: |
June 29, 2015 |
Sector: |
Energy |
Activated in VL: |
True |
Average Daily Range |
Avg Daily Range: |
$0.18 | 0.77%
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Avg Daily Range (30 D): |
$0.27 | 0.76%
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Avg Daily Range (90 D): |
$0.34 | 0.98%
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Institutional Daily Volume |
Avg Daily Volume: |
.08M |
Avg Daily Volume (30 D): |
.05M |
Avg Daily Volume (90 D): |
.06M |
Trade Size |
Avg Trade Size (Sh.): |
386 |
Avg Trade Size (Sh.) (30 D): |
243 |
Avg Trade Size (Sh.) (90 D): |
266 |
Institutional Trades |
Total Inst.Trades: |
376 |
Avg Inst. Trade: |
$3.17M |
Avg Inst. Trade (30 D): |
$1.11M |
Avg Inst. Trade (90 D): |
$1.72M |
Avg Inst. Trade Volume: |
.14M |
Avg Inst. Trades (Per Day): |
1 |
Market Closing Trades |
Avg Closing Trade: |
$M |
Avg Closing Trade (30 D): |
$M |
Avg Closing Trade (90 D): |
$M |
Avg Closing Volume: |
K |
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