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PSP

ETF
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Performance overview

PSP Price
Price Chart

Forward-looking statistics

Beta
2.17
Risk
32.67%

Detailed forecast

[disclaimer]

Individual forecast components (weighted-sum)

Fund Profile

The fund generally will invest at least 90% of its total assets in securities (including American depositary receipts ("ADRs") and global depositary receipts ("GDRs")) that comprise the underlying index. The underlying index is composed of securities, ADRs and GDRs of 40 to 75 private equity companies, including business development companies ("BDCs"), master limited partnerships ("MLPs"), alternative asset managers and other entities that are listed on a nationally recognized exchange.

Fund info

The fund generally will invest at least 90% of its total assets in securities (including American depositary receipts ("ADRs") and global depositary receipts ("GDRs")) that comprise the underlying index. The underlying index is composed of securities, ADRs and GDRs of 40 to 75 private equity companies, including business development companies ("BDCs"), master limited partnerships ("MLPs"), alternative asset managers and other entities that are listed on a nationally recognized exchange.

Investing methodPassively Managed
DiversifiedNo
Expense ratio0.45%
Asset classEquities

Top holdings

3i Group plc5.63%
Sofina SA5.43%
EQT AB5.41%
Partners Group Holding AG5.17%
Eurazeo SE5.07%
HAL Trust5.00%
CVC Capital Partners PLC4.65%
Blackstone Inc4.00%
The Carlyle Group Inc3.87%
Other55.77%

Sector exposure

Financials76.85%
Real Estate9.00%
Industrials6.69%
Consumer Staples5.48%
Communication Services1.17%
Consumer Discretionary0.54%
General0.28%
Other-0.01%

Country exposure

United States46.11%
United Kingdom16.89%
Netherlands7.61%
Canada6.47%
Sweden6.23%
Switzerland5.46%
Belgium4.58%
France3.59%
Japan1.19%
Other1.87%

Company info

Sector—
Industry—
Website—
AUM—

Security info

ExchangeNyse American
Type of shareN/A
Earnings per share (EPS)—
Dividend per share$0.44
Revenue per share—
Avg trading volume (30 day)$3M
Avg trading volume (10 day)$5M
Put-call ratioN/A

Macro factor sensitivity

Growth+0.4
Credit+4.4
Liquidity-0.6
Inflation-2.1
Commodities-0.1
Interest Rates-1.8

Upcoming events

Next earnings day—
Next dividend day—
Ex. dividend dayMarch 24, 2025

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