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Fund Ticker Asset Class Sort descending Net Assets Inception Date Net Expense Ratio Gross Expense Ratio Fact Sheet
PSET Equity
17,967,223.39
3/21/2016
0.15
0.15
PVAL Equity
3,337,158.13
10/18/2017
0.29
0.29
PY Equity
31,258,524.07
3/21/2016
0.15
0.15
USMC Equity
1,511,928,789.35
10/11/2017
0.12
0.15
PDEV Equity
16,551,451.20
7/23/2019
0.25
0.25
PLC Equity
6,371,995.47
7/23/2019
0.15
0.15
PSM Equity
8,715,102.86
7/23/2019
0.20
0.20
BTEC Equity
95,992,901.98
8/19/2016
0.42
0.42
GENY Equity
25,917,266.48
8/19/2016
0.45
0.45
PMOM Equity
4,331,765.43
10/18/2017
0.29
0.29
PSC Equity
322,114,800.61
9/21/2016
0.38
0.38
Fund Ticker Price NAV Price Change NAV Change YTD (%)
PSET
$40.19
$39.93
1.23
0.05
-2.35
PVAL
$22.26
$22.25
-0.44
-0.44
-22.06
PY
$27.23
$27.18
-0.58
-0.57
-20.60
USMC
$30.21
$30.18
0.17
0.14
-3.62
PDEV
$23.78
$23.64
-0.10
-0.16
-10.57
PLC
$25.59
$25.49
-0.08
-0.10
-3.47
PSM
$21.82
$21.79
-0.40
-0.39
-17.62
BTEC
$44.71
$44.65
0.24
0.31
15.88
GENY
$43.15
$43.20
0.26
0.35
4.08
PMOM
$28.84
$28.88
-0.70
-0.66
-0.79
PSC
$26.82
$26.84
-0.54
-0.52
-17.69
  • NAV Monthly
  • NAV Monthly
  • Market Price Monthly
  • NAV Quarterly
  • Market Price Quarterly
Fund Ticker 1YR (%) 3YR (%) 5YR (%) 10YR (%) Inception Date Since Inception (%) YTD (%)
PSET
10.63
11.30
N/A N/A 3/21/2016
12.36
-5.83
PVAL
-4.86
N/A N/A N/A 10/18/2017
-1.66
-19.08
PY
-4.53
0.81
N/A N/A 3/21/2016
4.27
-20.00
USMC
12.11
N/A N/A N/A 10/11/2017
9.11
-4.04
PDEV N/A N/A N/A N/A 7/23/2019
-6.11
-12.51
PLC N/A N/A N/A N/A 7/23/2019
1.61
-4.85
PSM N/A N/A N/A N/A 7/23/2019
-12.70
-17.85
BTEC
36.43
18.06
N/A N/A 8/19/2016
14.94
9.54
GENY
11.22
12.23
N/A N/A 8/19/2016
13.90
-3.89
PMOM
4.76
N/A N/A N/A 10/18/2017
5.25
-4.31
PSC
-8.79
-0.78
N/A N/A 9/21/2016
2.73
-18.47
Fund Ticker 1YR (%) 3YR (%) 5YR (%) 10YR (%) Inception Date Since Inception (%) YTD (%)
PSET
10.77
11.33
N/A N/A 3/21/2016
12.37
-5.76
PVAL
-4.84
N/A N/A N/A 10/18/2017
-1.67
-19.07
PY
-4.17
0.92
N/A N/A 3/21/2016
4.38
-19.83
USMC
12.21
N/A N/A N/A 10/11/2017
9.19
-3.93
PDEV N/A N/A N/A N/A 7/23/2019
-5.71
-12.30
PLC N/A N/A N/A N/A 7/23/2019
2.03
-4.52
PSM N/A N/A N/A N/A 7/23/2019
-12.38
-17.97
BTEC
36.66
18.09
N/A N/A 8/19/2016
14.97
9.62
GENY
11.46
12.23
N/A N/A 8/19/2016
13.99
-3.76
PMOM
4.95
N/A N/A N/A 10/18/2017
5.32
-4.05
PSC
-8.72
-0.77
N/A N/A 9/21/2016
2.74
-18.50
Fund Ticker 1YR (%) 3YR (%) 5YR (%) 10YR (%) Inception Date Since Inception (%) YTD (%)
PSET
-6.05
7.51
N/A N/A 3/21/2016
8.64
-19.38
PVAL
-24.15
N/A N/A N/A 10/18/2017
-9.05
-32.98
PY
-24.30
-5.45
N/A N/A 3/21/2016
-0.18
-33.36
USMC
-5.81
N/A N/A N/A 10/11/2017
3.40
-17.17
PDEV N/A N/A N/A N/A 7/23/2019
-15.88
-21.61
PLC N/A N/A N/A N/A 7/23/2019
-14.11
-19.57
PSM N/A N/A N/A N/A 7/23/2019
-27.10
-31.40
BTEC
-9.35
5.59
N/A N/A 8/19/2016
6.66
-18.33
GENY
-13.55
6.93
N/A N/A 8/19/2016
7.65
-23.30
PMOM
-21.06
N/A N/A N/A 10/18/2017
-4.33
-24.90
PSC
-28.88
-7.23
N/A N/A 9/21/2016
-2.69
-32.95
Fund Ticker 1YR (%) 3YR (%) 5YR (%) 10YR (%) Inception Date Since Inception (%) YTD (%)
PSET
-5.92
7.54
N/A N/A 3/21/2016
8.66
-19.30
PVAL
-24.38
N/A N/A N/A 10/18/2017
-9.16
-33.16
PY
-24.31
-5.43
N/A N/A 3/21/2016
-0.14
-33.41
USMC
-5.78
N/A N/A N/A 10/11/2017
3.38
-17.28
PDEV N/A N/A N/A N/A 7/23/2019
-16.59
-22.41
PLC N/A N/A N/A N/A 7/23/2019
-13.86
-19.39
PSM N/A N/A N/A N/A 7/23/2019
-26.49
-31.17
BTEC
-9.44
5.56
N/A N/A 8/19/2016
6.62
-18.46
GENY
-13.86
6.67
N/A N/A 8/19/2016
7.67
-23.37
PMOM
-21.23
N/A N/A N/A 10/18/2017
-4.39
-24.94
PSC
-29.90
-7.64
N/A N/A 9/21/2016
-3.06
-33.90

Disclosures

Performance data quoted represents past performance. Past performance is no guarantee of future results and investment returns, and principal value of the Fund will fluctuate so that shares, when redeemed, may be worth more or less than their original cost. Current performance may be higher or lower than the performance quoted.

Investors should carefully consider a fund’s investment objectives, risks, charges, and expenses prior to investing.

Asset allocation and diversification do not ensure a profit or protect against a loss. Investing in ETFs involves risk, including possible loss of principal. ETFs are subject to risk similar to those of stocks, including those regarding short-selling and margin account maintenance.

Investor shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Ordinary brokerage commissions apply.

Returns shown for periods of less than one year are not annualized.

© 2020 Morningstar, Inc. All Rights Reserved. Part of the data contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete, or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information.

Past performance is no guarantee of future results.

Where gross and net expense ratios differ, the investment adviser has contractually agreed to limit the investment option's expenses. Differences also may be due to the investment adviser's decision to waive (through the same dates) certain expenses that would normally be payable by the fund. The net expense figure reflects the impact of any limits or waivers. Returns displayed are based on net total investment expense.

Risks

1. Equity investments involve greater risk, including higher volatility, than fixed-income investment options.

2. Mid-cap stocks may have additional risks, including greater price volatility.

3. Small and mid-cap stocks may have additional risks including greater price volatility.

4. Investments concentrated in the healthcare industry may be adversely impacted by sector specific market shocks, unforeseen rate controls or regulations, higher than expected costs, or inability to bring new products to market.

5. International and global investing involves greater risks such as currency fluctuations, political/social instability and differing accounting standards.

8. Small-cap stocks may have additional risks including greater price volatility.

12. Equity investments involve greater risk, including heightened volatility, than fixed-income.

21. During 2020, the Fund experienced a significant one-time gain of approximately $1.13 per share as the result of a one-time infusion of capital by the Manager due to an operational error by a third party. If such gain had not been recognized, the total return amounts expressed herein would have been lower.