AVIG ETF is analyzed across 10 metrics including expense ratio, holdings, sector allocation, dividends, RSI, and MACD.
| Category | Bonds - Broad Market | Asset Type | Bonds | Return% 1Y | 2.97% | Total Holdings | 867 | Perf Week | -0.43% |
| ETF Type | Global Bonds | Active/Passive | Active | Return% 3Y | 3.92% | AUM | $1.9B | Perf Month | -1.55% |
| Expense | 0.15% | NAV | $40.78 | Return% 5Y | -0.29% | 52W High | -4.01% | Perf Quarter | -2.19% |
| Dividend TTM | $1.8 (4.41%) | Div Gr. 3/5Y | 20.76% 74.8% | Return% 10Y | - | 52W Low | 0.38% | Perf Half Y | -2.82% |
| Flows% 1M | 1.94% | Flows% YTD | 29.13% | Return% SI | -0.27% | Volatility(W/M) | 0.19% 0.22% | Perf YTD | -2.6% |
| SMA20 | -0.6% | SMA50 | -0.89% | SMA200 | -2.19% | RSI (14) | 38.93 | Beta | 0.28 |
| IPO | 2020/10/15 | Prev Close | $40.76 | Perf Year | -1.28% | Avg Volume | 0.34M | Price | $40.83 |
Avantis Core Fixed Income ETF (AVIG) Investment Analysis
ETF Overview
Avantis Core Fixed Income ETF · Bonds - Broad Market
The Avantis Core Fixed Income ETF seeks to maximize total return. The ETF invests primarily in investment-grade debt securities issued by various issuers in the U.S. and abroad. Under normal market conditions, it invests at least 80% of its net assets (including borrowings for investment purposes) in fixed-income securities (bonds). The ETF seeks to maintain its weighted average duration within a 2-year range of the weighted average duration of the Bloomberg U.S. Aggregate Bond Index, which serves as the benchmark index calculated by the portfolio managers.
📘 AVIG ETF 자세히 알아보기 →- 규모
- $1.9B 약 3조원
- 운용사
- American Century
- 운용 방식
- 액티브 (운용사 재량)
- 상장일
- 2020년
Cost Efficiency
Annual Expense Ratio · Category Rank · Long-Term Cost Impact
Defaults shown against $100K baseline portfolio. Adjust the slider to update the amount in real time.
* A lower fee does not necessarily mean a better ETF. Consider the tracked index, liquidity, and tax treatment as well.
Long-Term Performance
1-year · 3-year · 5-year · 10-year returns · vs. benchmark · drawdown defense
Mostly orange (70%+): Income-style — dividends drive most returns (watch out for after-tax drag)
Red + orange: Stagnant or declining price — dividends offset losses (common in covered-call and high-dividend funds)
Risk Profile
Volatility · Beta · Max Drawdown · Sharpe · Drawdown Recovery History
Dividend Analysis
Yield · Dividend history · After-tax income calculator
Overall investment appeal
What this ETF fits best — strengths, weaknesses, and target investor profile
- 💸Low cost — 0.15% annually
- 📈Long-term returns trail the average
- 🎯Trails benchmark by -13.2%p annually
Portfolio Composition
What's actually inside — sector weights and top holdings
Category Peers
Category: Bonds - Broad Market
| 티커 | ETF명 | 보수율 | AUM | 보유종목 | 배당률 | YTD | 1년 |
|---|---|---|---|---|---|---|---|
| Avantis Core Fixed Income ETF | 0.15% | $1.9B | 867 | 4.41% | -2.60% | -1.28% | |
| Vanguard Total International Bond ETF | 0.07% ▲ | $82.4B ▲ | 6833 | 4.52% ▲ | - | -2.70% ▼ | |
| iShares Core Universal USD Bond ETF | 0.06% ▲ | $43.0B ▲ | 18030 | 4.28% ▼ | - | -0.85% ▲ | |
| iShares Flexible Income Active ETF | 0.4% ▼ | $16.1B ▲ | 4787 | 5.60% ▲ | - | -1.36% ▼ | |
| PIMCO Multisector Bond Active ETF | 0.64% ▼ | $15.0B ▲ | 2427 | 5.94% ▲ | - | -0.62% ▲ | |
| JPMorgan Core Plus Bond ETF | 0.38% ▼ | $13.9B ▲ | 2743 | 4.95% ▲ | - | -0.89% ▲ |
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FAQ
What kind of ETF is AVIG?
AVIG is an ETF in the Bonds - Broad Market category, managed by American Century.
How many holdings does AVIG have?
AVIG holds a total of 867 securities, with an AUM of approximately $1.9B.
Does AVIG pay dividends (distributions)?
AVIG's distribution yield is approximately 4.41%.
What is the 52-week high and low for AVIG?
AVIG has recorded a 52-week high of $42.54 and a low of $40.68.
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