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SNAV ETF

Profile

Name:

Mohr Sector Nav ETF

Assets under management:

$44 M

Expense ratio:

1.30%

Inception date:

11 January 2023

Website:

-

Last ex-dividend date:

19 December 2023

Next ex-dividend date:

N/A

Description:

SNAV ETF is an exchange-traded fund that focuses on investing in a diversified portfolio of assets. It aims to provide investors with exposure to various sectors while managing risk. The fund is designed for those seeking long-term growth and stability in their investment strategy.

Top holdings

No data

Holding types

Countries

Sectors

No data

Analyst ratings

Market Data

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FAQ

  • What is SNAV ETF?
  • Does SNAV pay dividends?
  • What is the current assets under management for SNAV?
  • What is SNAV average volume?
  • What is SNAV expense ratio?
  • What is SNAV inception date?

What is SNAV ETF?

SNAV ETF is an exchange-traded fund that focuses on investing in a diversified portfolio of assets. It aims to provide investors with exposure to various sectors while managing risk. The fund is designed for those seeking long-term growth and stability in their investment strategy.

Does SNAV pay dividends?

Yes, the Mohr Sector Nav ETF does pays dividends, with the most recent payment being $0.90 per share. The last ex-dividend date was on 19 December 2023, and the next ex-dividend date has not been announced yet

What is the current assets under management for SNAV?

Assets under management of Mohr Sector Nav ETF is $44 M

What is SNAV average volume?

Average volume of Mohr Sector Nav ETF is $9604

What is SNAV expense ratio?

Expense ratio of Mohr Sector Nav ETF is 1.30%

What is SNAV inception date?

Inception date of Mohr Sector Nav ETF is 11 January 2023