DYTA

SGI Dynamic Tactical ETF

$29.25
+0.00%
Market closed. Last update: 12:29 PM ET

📎 Investment Objective

The DYTA - SGI Dynamic Tactical ETF seeks to provide exposure to a diversified portfolio of asset classes, with the goal of generating positive returns in a variety of market environments.

Overview

ETF tracking SGI Dynamic Tactical ETF

Issuer Other
Inception Date 2023-03-30
Market Cap $67.4M
Average Volume N/A
Dividend Yield 10.25%
52-Week Range $26.37 - $32.23
VWAP $29.29

Performance

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Investment Summary

📎 Investment Objective

The DYTA - SGI Dynamic Tactical ETF seeks to provide exposure to a diversified portfolio of asset classes, with the goal of generating positive returns in a variety of market environments.

🎯 Investment Strategy

The fund employs a dynamic tactical asset allocation strategy, adjusting its exposures across equities, fixed income, and other asset classes based on the fund manager's assessment of current market conditions and opportunities. The fund aims to actively manage risk and capitalize on changing market trends.

✨ Key Features

  • Actively managed, multi-asset portfolio with tactical allocation shifts
  • Seeks to generate positive returns in both rising and falling markets
  • Potentially lower volatility compared to traditional equity-focused funds
  • Broad diversification across asset classes and sectors

⚠️ Primary Risks

  • Market risk: The fund's value may fluctuate based on changes in the overall stock or bond markets
  • Tactical allocation risk: The fund's performance depends on the manager's ability to effectively time asset class shifts
  • Liquidity risk: Some investments held by the fund may be difficult to sell at an advantageous time or price
  • Concentration risk: The fund may have significant exposure to a particular sector or asset class

👤 Best For

The DYTA - SGI Dynamic Tactical ETF may be suitable for investors seeking a diversified, actively managed portfolio that aims to generate positive returns in a variety of market environments. This fund may be appropriate for investors with a moderate to high risk tolerance who are looking to complement their core equity and fixed income holdings.