TTAC
FCF US Quality ETF (TTAC)
The FCF US Quality ETF (TTAC) is actively managed utilizing a blend of quantitative modeling and fundamental analysis. It invests in U.S. stocks with strong free cash flow characteristics, seeking to generate long-term returns in excess of the total return of the Russell 3000 Index, with manageable risk:
  • Disciplined and consistent investment process driven by quantitative models.
  • Access to “high quality” companies identified by free cash flow research.
  • ESG considerations beyond company fundamentals are an integral part of the “high quality” decision.
Fund Investment Objective
The FCF US Quality ETF (TTAC) seeks to generate long-term returns in excess of the total return of the Russell 3000 Index, with less volatility.
Why TTAC?
Our research has shown that free cash flow is a more reliable indicator of high-quality companies. TTAC uses a transparent investment process, based on our proprietary quantitative free cash flow analysis, supplemented by rigorous fundamental analysis. This may offer investors:
  • High conviction exposure to high-quality U.S. companies

  • Potential for excess returns over the Russell 3000 TR Index, with lower volatility

  • A diversified portfolio where ESG factors are important inputs

Fund Information
Exchange:
CBOE BZX Exchange, Inc.
Ticker:
TTAC
CUSIP:
89628W302
Inception date:
September 27, 2016
NAV Symbol:
TTAC.NV
Net assets as of :
Shares outstanding:
Closing price:
NAV:
Premium/Discount:
Gross/Net expense ratio:
0.59%
30-DAY SEC YIELD AS OF 2/29/2024:
0.74%**
MEDIAN 30 DAY BID/ASK SPREAD:
Where does TTAC fit into a portfolio?
TTAC may help strengthen your portfolio and serve a variety of functions, including:
  • Core Equity Holding: TTAC offers diversified US equity exposure.
  • Alpha Sleeve: Our robust investment process seeks to deliver reliable alpha (excess returns over the index).
  • ESG: TTAC has historically ranked highly on ESG scales.
NAV and Market Price
(as of 03/01/2022)

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Performance
QUARTER END PERFORMANCE (as of 12/31/23)
NAME Quarter 1 Yr 3 Yr 5 Yr Annualized Since Inception
NAME TTAC Market Price Quarter 10.82% 1 Yr 22.97% 3 Yr 11.15% 5 Yr 15.41% Annualized Since Inception 14.09%
NAME TTAC NAV Quarter 10.84% 1 Yr 22.93% 3 Yr 11.17% 5 Yr 15.36% Annualized Since Inception 14.09%
NAME Russell 3000 TR USD Quarter 12.07% 1 Yr 25.96% 3 Yr 8.54% 5 Yr 15.16% Annualized Since Inception 13.03%

Expense Ratio: 0.59%. The performance data quoted represents past performance. Past performance does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor's shares, when sold or redeemed, may be worth more or less than their original cost and current performance may be lower or higher than the performance quoted. Performance current to the most recent month-end can be obtained by calling (toll free 800-617-0004). Short term performance, in particular, is not a good indication of the fund's future performance, and an investment should not be made based solely on returns.

Top 10 Holdings
(as of )
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Premium Discount
FCF US Quality ETF (TTAC)
January 3, 2022 to December 29, 2023
Calendar Year 2022 Calendar Year 2023 through December 31, 2023
Days Traded at premium 96 120
Days Traded at net asset value 0 0
Days Traded at discount 155 130

This table and line graph are provided to show the frequency at which the closing price of the Fund was at a premium (above) or discount (below) to the Fund’s daily net asset value (“NAV”). The table and line graph represent past performance and cannot be used to predict future results. Shareholders may pay more than NAV when buying Fund shares and receive less than NAV when those shares are sold because shares are bought and sold at current market prices.

Distribution
DISTRIBUTION DETAIL
EX-DATE RECORD DATE PAYABLE DATE AMOUNT
EX-DATE 12/28/2016 RECORD DATE 12/30/2016 PAYABLE DATE 01/03/2017 AMOUNT $0.05201334
EX-DATE 12/28/2017 RECORD DATE 12/29/2017 PAYABLE DATE 01/02/2018 AMOUNT $0.13543914
EX-DATE 12/28/2018 RECORD DATE 12/31/2018 PAYABLE DATE 01/02/2019 AMOUNT $0.19421874
EX-DATE 12/30/2019 RECORD DATE 12/31/2019 PAYABLE DATE 01/02/2020 AMOUNT $0.28392249
EX-DATE 12/30/2020 RECORD DATE 12/31/2020 PAYABLE DATE 01/04/2021 AMOUNT $0.18938275
EX-DATE 12/30/2021 RECORD DATE 12/31/2021 PAYABLE DATE 01/03/2022 AMOUNT $5.31943352
EX-DATE 12/28/2022 RECORD DATE 12/29/2022 PAYABLE DATE 12/30/2022 AMOUNT $0.63305467
EX-DATE 3/3/2023 RECORD DATE 3/6/2023 PAYABLE DATE 3/7/2023 AMOUNT $0.17573162
EX-DATE 6/5/2023 RECORD DATE 6/6/2023 PAYABLE DATE 6/7/2023 AMOUNT $0.13587885
EX-DATE 9/6/2023 RECORD DATE 9/7/2023 PAYABLE DATE 9/8/2023 AMOUNT $0.11321650
EX-DATE 12/14/2023 RECORD DATE 12/15/2023 PAYABLE DATE 12/18/2023 AMOUNT $0.10957982
EX-DATE 3/5/2024 RECORD DATE 3/6/2024 PAYABLE DATE 3/7/2024 AMOUNT $0.08607475
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