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CANE
CANE
Teucrium Sugar Fund
7월 28일 4:00 PM ET (한국 7/29 05:00)
$9.57
-0.04 ▼ -0.42%
🌙 7월 28일 7:34 PM ET (한국 7/29 08:34)
$9.57
+0.00 +0.00%

CANE ETF is analyzed across 10 metrics including expense ratio, holdings, sector allocation, dividends, RSI, and MACD.

시황 · 실적발표 · 매수매도 신호, 가장 먼저 받아보세요 🔔 구독
Total Expense Ratio
0.09%
Annual operating cost
Net Assets (AUM)
$56M
약 764억원
Holdings
12 items
Dividend Yield
-
Management Style
Passive
Category Commodities & Metals - AgriculturalAsset Type Commodities & MetalsReturn% 1Y -12.4%Total Holdings 12Perf Week -2.35%
ETF Type Global Commodities & MetalsActive/Passive PassiveReturn% 3Y -10.78%AUM $56MPerf Month -0.52%
Expense 0.09%NAV $9.62Return% 5Y 3.02%52W High -15.38%Perf Quarter 1.92%
Dividend TTM -Div Gr. 3/5Y -Return% 10Y -2.81%52W Low 6.69%Perf Half Y 0.43%
Flows% 1M -23.32%Flows% YTD 565.09%Return% SI -6.26%Volatility(W/M) 0.85% 1.03%Perf YTD -1.9%
SMA20 -2.1%SMA50 -1.14%SMA200 -0.72%RSI (14) 44.24Beta -0.04
IPO 2011/9/19Prev Close $9.61Perf Year -12.42%Avg Volume 0.42MPrice $9.57

📊 Teucrium Sugar Fund (CANE) Investment Analysis

ETF Overview

Teucrium Sugar Fund · Commodities & Metals - Agricultural

일반 ETF — 카테고리 기반 분석만 제공됩니다
2011년 상장, 15년 운영 중.

Teucrium Sugar는 Teucrium Sugar Index(TCANE)로 측정되는 설탕 선물 시장 일일 변동에, 펀드 주당 NAV의 일일 변동이 연동되도록 하는 것을 목표로 합니다. 통상적인 시장 상황에서 벤치마크 구성 선물 계약에 투자하여 투자 목표를 달성하고자 합니다. 운용사는 통상적인 시장 상황에서 펀드 자산의 100%를 설탕 선물 계약 거래와 현금성 자산 투자에 사용할 것으로 예상합니다.

📘 CANE ETF 자세히 알아보기 →
commodityfuturessugar
규모
$56M 약 764억원
운용사
Teucrium
운용 방식
패시브 (지수 추종)
상장일
2011년

Cost Efficiency

Annual Expense Ratio · Category Rank · Long-Term Cost Impact

Low-cost ETF — 0.09% annually
상위 25% within Commodities & Metals - Agricultural. For a ₩100M investment, roughly ₩90,000/year.
Effective Annual Expense Ratio (Net Expense Ratio)
상위 25%
0.09%
My positionTop 25%
Low range Average High range
Actual Cost Simulation by Investment Amount
$100.0M
Annual Expense Ratio
$90K
Save $460K per year vs. category average
Category Median Annual Cost
$550K
Based on expense ratio of 0.55%
10-Year Cumulative Expense Ratio (Long-term simulation assuming 7% annual market growth)
$1.6M
1.7% of returns you could have earned goes to the fund manager due to fees
💡 Because the expense ratio takes a slice of your assets every year, costs compound over 10 years and result in far greater losses than a simple sum (annual fee × 10). The 7% annual return assumption is based on the S&P 500's long-term average.

Defaults shown against $100K baseline portfolio. Adjust the slider to update the amount in real time.

Long-Term Performance

1-year · 3-year · 5-year · 10-year returns · vs. benchmark · drawdown defense

Average long-term returns
Near the 전체 ETF median.-30.2%p vs. benchmark (SPY) over 1Y.
ℹ️ The "1Y·3Y·5Y·10Y" periods below represent annualized returns (CAGR) measured backward from today. Example: "3Y +12%" means the investment grew at a compounded 12% per year over the past three years.
If you had invested 10 year(s) ago
$100.0M
Today's value
$75.2M
Total loss
$-24,800,350
Annualized -2.8%
1 Year
2025.07 ~ 2026.07
Annualized -12.40%
하위 25%
Trailed the benchmark by 30.2%p annually
My positionBottom 25%
Low range Average High range
3 Years
2023.07 ~ 2026.07
Annualized -10.78% Cumulative -29.0%
하위 5%
Trailed the benchmark by 30.0%p annually
My positionBottom 5%
Low range Average High range
5 Years
2021.07 ~ 2026.07
Annualized +3.02% Cumulative +16.0%
평균권
Trailed the benchmark by 10.2%p annually
My positionMid-range
Low range Average High range
10Y
2016.07 ~ 2026.07
Annualized -2.81% Cumulative -24.8%
하위 25%
Trailed the benchmark by 17.7%p annually
My positionBottom 25%
Low range Average High range
10Y Cumulative Total Return Curve
2016-07-29 start, based on a 100M KRW base — read the curve values directly as units of 100M KRW (e.g., 308 → 3.08억 / 308M KRW). Both this ETF and the benchmark are rebased to 100 on the same start date for comparison.
CANE · Price Only CANE · Price + Cumulative Dividends CANE · Dividend Reinvested S&P 500 (SPY)
0
150
300
450
ℹ️ Price Only: Excludes dividends and tracks pure stock price only. Covered-call and high-dividend ETFs often show a flat or declining line on this view, which is meaningful from a "principal preservation" standpoint. Price + Cumulative Dividend: Share count stays the same and received dividends are accumulated as cash. Closely matches your actual account total assets. Reinvested: Dividends are immediately used to buy additional shares (adjClose-based, the industry standard for total return). The wider the gap between the three lines, the easier it is to gauge the effectiveness of the dividend strategy.
Annual Return Comparison
ETF returns vs S&P 500 (SPY) by calendar year
CANE S&P 500 (SPY)
+40%
0%
−40%
-28%
2017
-28%
2018
+2%
2019
-3%
2020
+34%
2021
+4%
2022
+32%
2023
-8%
2024
-16%
2025
-0%
2026 YTD
ℹ️ Returns from January 1 to December 31 of each year. The current year (2026) column is dimmed to indicate YTD (incomplete). If blue is higher than gray, the ETF outperformed the benchmark in that year.
Win rate vs S&P 500 (SPY)
3 / 9Y
Lags behind benchmark (33%)
+ 2026 YTD: Behind (-0.1% vs 8.7%)
2017
2018
2019
2020
2021
2022
2023
2024
2025
2026 YTD
ℹ️ Number of winning years versus S&P 500 (SPY) within a completed calendar year (1/1–12/31). The current year (YTD) is reported separately.
Downside Capture
🛡️ 13%
Falls less than the benchmark in drawdowns — strong downside protection
<85% (Defend) 85~110% (Track) >110% (Lag)
ℹ️ Average % drop of this ETF when S&P 500 (SPY) is −1%. Based on daily returns over the past 3 years (only days where the benchmark is negative).

Risk Profile

Volatility · Beta · Max Drawdown · Sharpe · Drawdown Recovery History

Overall Risk Grade
Moderate Risk
Volatility is around market average. Be prepared for losses of roughly -30% to -40% in major downturns.
Beta (market sensitivity)
상위 5%
-0.04
If the market rises +10% -0.4%
If the market falls -10% +0.4%
My positionTop 5%
Low range Average High range
ℹ️ A beta of 1.0 moves in line with the market. Above 1 means it moves more than the market; below 1 means less.
Average daily range (last 1 month)
평균권
±1.03%
S&P 500 typically ±1.0~1.3% · Bond funds ±0.3% · Leveraged ETFs ±3% or more
Annual volatility trend (past 10 years)
ℹ️ This ETF's average daily price swing. 1% means "on average, moves about ±1% per day." The rolling curve below shows the annualized volatility (long-term standard measure) over time.
Max Drawdown · Past 10 years
-67.3%
Drawdown duration: 44 months
2016-09-28 → 2020-04-27
Recovered in about 3.4 years
2015-08-03 Worst -65% 2026-07-01
ℹ️ Maximum drawdown is the largest peak-to-trough decline in the past. It represents the worst-case loss a long-term investor must psychologically endure.
Sharpe Ratio (Risk-Adjusted Return)
-0.08
Poor — Underperforms the risk-free rate
ℹ️ Annualized return minus the risk-free rate (3% annualized), divided by annualized volatility. A value above 1.0 is generally considered good risk-adjusted performance.
Estimated Monthly Maximum Loss (VaR 95%)
-10.0%
Historically, monthly losses exceeding this figure occurred only5%of the time.
ℹ️ A statistical estimate meaning "with 95% probability, monthly losses will not exceed this amount." The remaining 5% corresponds to crisis-level events such as financial crises or pandemics.

Overall investment appeal

What this ETF fits best — strengths, weaknesses, and target investor profile

Strengths and weaknesses both present Check the fit below to see whether it matches your investing goal.
🎯 목적별 적합도
내가 이 ETF를 어떤 목적으로 활용할 수 있는지 확인하세요.
🌳
장기 보유
수년 이상 꾸준히 모아갈 때
보통
💵
배당 인컴
매월·분기 현금흐름이 목적일 때
매우 낮음
단기 트레이딩
며칠~몇 주 단기 방향성 매매
매우 낮음
🧩
포트폴리오 보조
자산 배분·헤지 용도
낮음
👤
이런 분에게 어울려요
Long-term and recurring investors
✅ 강점
  • 💸Low cost — 0.09% annually
⚠️ 약점·주의사항
  • 🎯Trails benchmark by -10.2%p annually

Category Peers

Category: Commodities & Metals - Agricultural

같은 카테고리 3종 중 AUM 2/3위 · 보수율 1/3위
카테고리: Commodities & Metals - Agricultural
ℹ️ 왜 비교해야 하나요?
같은 카테고리 ETF끼리는 보수율·규모(AUM)·배당률을 비교해 볼 가치가 있어요. 보수율은 낮을수록 장기 수익에 유리하고, AUM이 크면 운용 안정성이 높아요. ▲ 표시CANE보다 유리, ▼ 표시CANE보다 불리를 뜻해요.
티커ETF명보수율AUM보유종목배당률YTD1년
CANE CANE
Teucrium Sugar Fund0.09% $56M 12- -1.90% -12.42%
Teucrium Soybean Fund0.24% $62M 10- - +18.64%
Teucrium Agricultural Fund0.13% $19M 5- - +5.88%
AUM 내림차순 정렬 · ▲ CANE보다 유리 · ▼ CANE보다 불리
📊
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Leveraged & Covered Call ETFs on the Same Theme

ETFs that approach the same theme with a different strategy

21 ETFs tracking the same theme as CANE using leveraged or covered call strategies (Leverage 8 · Inverse 6 · Covered Call 7)
Not direct derivatives of CANE, but ETFs that cover the same theme via a different strategy.
ℹ️ Which ETFs are included?
Among ETFs whose theme (category or sector) overlaps with CANE, some use special strategies. Leveraged ETFs aim for 2–3× the daily move, Inverse ETFs seek opposite-direction returns, and Covered Call ETFs generate monthly income from option premiums.
⚠️ Caution: Long-Term Holding
Leveraged and inverse ETFs track only the daily return. With high volatility, holding them for longer periods causes cumulative volatility decay—returns diverge further from the underlying index. They are meant for short-term trading.
🧺
Deeper Analysis at the ETF Center ETF overlap, sector exposure, and X-Ray analysis tools

FAQ

What kind of ETF is CANE?

CANE is an ETF in the Commodities & Metals - Agricultural category, managed by Teucrium.

How many holdings does CANE have?

CANE holds a total of 12 securities, with an AUM of approximately $56M.

What is the 52-week high and low for CANE?

CANE has recorded a 52-week high of $11.31 and a low of $8.97.

시황 · 실적발표 · 매수매도 신호, 가장 먼저 받아보세요 🔔 구독

면책조항: 본 콘텐츠는 참고 자료이며 투자 권유가 아닙니다. 모든 투자의 책임은 투자자 본인에게 있습니다.