PZLV 股價展望與 ETF 分析 - 配息·管理費·持股·NAV·RSI·MACD | 美股今日
詳細指標表
| Category | US Equities - US Style | Expense | 0.6% | Return% 1Y | - | Total Holdings | 40 | Perf Week | 0.35% | Volume | 14 |
| Asset Type | Equities (Stocks) | AUM | $69M | Return% 3Y | - | NAV | $30.22 | Perf Month | -4.01% | Avg Volume | 0.00M |
| ETF Type | US Equities | Dividend TTM | - | Return% 5Y | - | 52W High | -6.29% | Perf Quarter | 3.42% | Rel Volume | 0.01 |
| Active/Passive | Active | Div Gr. 3/5Y | - | Return% 10Y | - | 52W Low | 19.84% | Perf Half Y | 15.19% | Prev Close | $30.23 |
| IPO | 2026/4/1 | Flows% 1M | 0% | Return% SI | 43.44% | RSI (14) | 38.83 | Perf YTD | 19.03% | Price | $29.95 |
| Beta | - | Flows% 3M | 1.12% | Flows% YTD | 415.17% | Flows% 1Y | 415.17% | Perf Year | - | Volatility(W/M) | 0% 0.11% |
| SMA20 | -1.73% | SMA50 | -3.19% | SMA200 | 3.47% | ATR | 0.21 | ||||
The Fund invests at least 80% of its net assets in stocks of "large-cap value" companies. The Fund defines "value" companies as those that are in the three lowest quintiles of valuation of the investment universe based on estimated future earnings. In managing the Fund's assets, the Adviser will follow a classic value strategy. The Fund's portfolio will generally consist of 30 to 80 stocks identified through a research-driven, bottom-up security selection process based on thorough fundamental research. The Fund seeks to invest in large-cap company stocks that, in the opinion of the Adviser, sell at a substantial discount to their intrinsic value but have solid long-term prospects. Though the Fund primarily invests in U.S. listed companies, it may also invest up to 20% of its net assets in shares of foreign companies through ADRs or dollar-denominated foreign securities. The Fund's investments in foreign securities may include investments in emerging-markets securities. The Fund may also invest in REITs and up to 10% of its net assets in limited partnerships and MLPs. Additionally, the Adviser integrates environmental, social, and governance (ESG) considerations where material to earnings.
前 10 大持股占 基金的 38%
依持股比重由大到小。
過去一年中, 屬於中等
較一年最高價低 6%。
成交量低於平時 相當於平均成交量的1%。
長期表現為 漲跌都不大
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價格 波動適中
最糟時(2026年9月)下跌了 7%,至今尚未完全恢復。
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沒有股息
目前還沒有可分配的利潤。
資金持續流入
最近一年流入了相當於資產 415.2% 的新資金。
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