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CurrencyCode | USD |
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Exchange | NYSE ARCA |
Beta | 0.08 |
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Market Cap | None |
PE Ratio | None |
Target Price | None |
Dividend Yield | None |
The fund seeks to achieve its investment goal by allocating its assets across two underlying alternative investment strategies, which represent top-down and bottom-up approaches to capturing factor-based risk premia. Through the two strategies, it may invest in or obtain exposure to: (i) equity securities (which may include common stocks and preferred stocks), (ii) debt securities (which may include bonds, notes, debentures, banker's acceptances and commercial paper), (iii) commodity-linked derivative instruments and (iv) currency-related derivative instruments.
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