Seeking Alpha

CVY
Guggenheim Multi-Asset Income ETF

5/27/2012, 6:26 PM ET
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CVY Market Currents more »
  • May 1 "Not suddenly, but over time, gradually higher rates of inflation should be the result of QE policies and (endless ZIRP)," writes Bill Gross, the bond man turning goldbug (?) as he urges a higher allocation to real assets as a way to combat this. Gross also recommends shortish-duration fixed income as well as stocks offering 3-4% yields.
ETF Stats
  • Expense Ratio: 0.65%
  • Average Bid Ask Ratio: 0.10%
  • Tracking Error: 0.16%
  • Concentration Risk: 4.39%
  • Capital Gains Dist. %: 0.00%
  • Number of Securities: 148
  • Dividend Amount: $0.277
  • Dividend Date: 12/23/2011
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  • OPTIONS EXPIRATION DISTORTIONS
    Fri, Apr 20 David Fry Comment!
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    Thu, Mar 8 David Fry 1 Comment
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    Thu, Mar 8 David Fry Comment!
  • The Big Move: Financials Are Positioned for Significant Advance
    Mon, Jan 9 Justin M. Hall 3 Comments
  • Risk on as Markets Rally
    Tue, Jan 3 David Fry Comment!
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CVY Description
The Guggenheim/Zacks Multi-Asset Income Index ETF (NYSE:CVY), the “Fund”, seeks investment results that correspond generally to the performance, before the Fund’s fees and expenses, of an equity index called the Zacks Multi-Asset Income Index (the "Zacks Multi-Asset Income Index" or "Index"). The Fund expects to use a sampling approach in seeking to achieve its objective. Sampling means that Guggenheim Advisors, LLC (the "Investment Adviser") uses quantitative analysis to select stocks from the Index universe to obtain a representative sample of stocks that resemble the Index in terms of key risk factors, performance attributes and other characteristics. However, the Fund may use replication to achieve its objective if practicable. The Investment Adviser seeks a correlation over time of 0.95 or better between the Fund’s performance and the performance of the Index. A figure of 1.00 would represent perfect correlation. The Fund, using a low cost “passive” or “indexing” investment approach, seeks to replicate, before fees and expenses, the performance of the Zacks Multi Asset Income Index. The Zacks Multi Asset Income Index is comprised of approximately 125 to 150 securities selected, based on investment and other criteria, from a universe of domestic and international companies. The universe of securities within the Index includes: U.S.-listed common stocks, Master limited partnerships (“MLPs”), American depositary receipts ("ADRs") paying dividends, Closed-end funds, Real estate investment trusts (“REITs”) & Traditional preferred stocks. The companies in the universe are selected using a proprietary methodology developed by Zacks Investment Research, Inc. ("Zacks" or the “Index Provider”).
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Country: United States
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