The Exchange Traded Funds prospectus contains its investment objectives, risks, charges, expenses and other important information you should read and consider carefully prior to making an investment decision.
Please review the current prospectus, available from the Prospectus link.
ETFs have unique features that you should be aware of, which can include distribution of any gains, risks related to securities within the portfolio, and tax consequences. The data quoted herein represents past
performance and is not indicative of future results. The investment return and principal value of an investment will fluctuate so that your investment, when redeemed, may be worth more or less than their original value.
Current performance may be lower or higher than the performance data provided. Please review the prospectus or other research tools provided on this site for more recent performance information. Contact Motif Investing
at 1-855-586-6843 to obtain the most recent month-end performance data.
Fixed income investments are subject to various unique risks, including changes in credit quality, market valuations, liquidity, prepayments, early redemption,
corporate events, tax ramifications, and other factors. Fixed income securities are subject to increased loss of principal during periods of rising interest rates.
The 1-Year Return/Return Since Inception indicates the performance of this particular motif over the last 12 months or, if the motif was created within the past 12 months, since the date the motif was created. See how we calculate returns.
The Motif Index level represents the performance of a benchmark motif (a motif in our catalog) over time. It is set at
1000 on the date of inception of the motif. For example, a Motif Index of 1100 represents a 10% return since inception. Similarly, the change in the Index over a
specified period represents the period return on the portfolio holding the same share weights as the benchmark motif.
The Motif Index is a measure created and maintained by the firm, which has the discretion to change the holdings that comprise the index and to make alterations to a particular Motif Index.
Popularity shows you how much interest a motif is attracting, compared to other motifs. We base this score on a proprietary formula that uses factors like how many people are viewing the motif, and how much conversation about it is happening in the community, in a range from Low-to-High.
The Volatility measurement for a Motif represents the annualized standard deviation of daily returns on a portfolio holding the same share weights as the Motif, and is measured in a range from Low to High. Since the standard deviation of returns are commonly used as a measure of portfolio risk, a Volatility measurement that is High is indicative of the fact that holding the motif in the past subjected the holder to larger fluctuations or higher risk.
The Valuation metric represents the present valuation of the stocks in the motif relative to the broader equity market. The Valuation metric is calculated as the composite Price-to-Earnings ratio for the stocks in the motif weighted by their respective share weights in a range from Low to High.
Standard pricing: $9.95 total commission per motif transaction. Other fees may apply. For details on fees and commissions, please
System response time and account access times may vary due to a variety of factors, including trading volumes, market conditions, system performance, and other factors.
Time shown in Eastern Time unless otherwise specified.
The data contained herein from third party providers is obtained from what are considered reliable sources. However, it's accuracy, completeness, or reliability cannot be guaranteed.
Investing in securities involves risks, you should be aware of prior to making an investment decision, including the possible loss of principal. An investment in individual stocks, or a collection of stocks
focused on a particular theme or idea, such as a motif, may be subject to increased risk of price fluctuation over more diversified holdings due to adverse developments which can affect a particular industry or sector.
Investments in ETFs can include those with a narrow or targeted investment strategy and can be subject to similar sector risks than more broadly diversified investments.
Motif makes no representation regarding the suitability of a particular investment or investment strategy. You are responsible for all investment decisions you make including understanding the risks involved with your
Please refer to your personal Motif Social Network privacy settings to verify they are current according to your personal requirements. You are responsible
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Any opinions, comments and recommendations in the Motif Investing Network ("Network") are generated by its members and do not represent the opinions,
comments or recommendations of Motif or any of its Associates. The content is intended for educational and informational purposes only and it should
not be construed as an offer, or a solicitation of an offer, to buy or sell securities, or any other product or service provided by Motif. Motif is not
responsible for and does not guarantee the accuracy, currency, completeness or usefulness of information, commentary, recommendations, advice, investment
ideas or other materials generated within Motif's Network by customers and users participating with Social Groups. The content within the Motif Network is
not personalized or tailored in any way to a user or customer's financial circumstances, investment objectives, risk tolerance or time horizon and the
securities and investment strategies discussed may not be suitable for participants. Any performance data displayed has not been verified and is not an
indication of future results. All investments are subject to risk. Content presented in the Motif Network is subject to edit or removal without notice.
While certain companies may have consistently paid dividends in the past, there can be no assurance or guarantee that they will be able to continue paying dividends in the future.
International investments involve additional risks you should be aware of, which include differences in financial accounting standards,
currency fluctuations, political instability, foreign taxes and regulations, news that can trigger volatile conditions, and the potential
for illiquid markets. Small cap companies in these markets may react with greater volatility in reaction to activities in those markets.
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