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Exchange Listed Funds Trust ETF (CEFS)

Exchange Listed Funds Trust ETF (CEFS)
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Overview

Name Saba Closed-End Funds ETF
Fund Family Exchange Traded Concepts
Underlying Index N/A
Inception Date 03/21/17
First Trade Date 03/21/17
Leverage Long
Asset Class Portfolio-Multi Asset

Description:

The Saba Closed-End Funds ETF is an actively-managed Exchange Traded Fund that seeks to generate high income by investing in closed-end funds trading at a discount to net asset value, and hedging the portfolios exposure to rising interest rates.

Investment Information

Alpha 8.26
60-Month Beta 0.76
Standard Deviation -0.56
Shares Outstanding, K 10,650.00
Managed Assets, $K 232,702.50 K
Net Asset Value 21.85
First Trade Price 20.03
P/E Ratio 0.06
Management Fee 2.90%
Options No
Latest Dividend 0.140
Last Dividend Date 11/25/24
Annual Dividend 1.75
Annual Dividend Yield 7.99%
1-Year Return 12.98%
3-Year Return 5.66%
5-Year Return 5.40%
Management Expense Ratio 2.90%

CEFS Dividends

Date Value
11/25/24 $0.1400
10/24/24 $0.1400
09/24/24 $0.1400
08/26/24 $0.1400
07/24/24 $0.1400
06/24/24 $0.1400
05/23/24 $0.1400
04/24/24 $0.1400
03/25/24 $0.1400
02/26/24 $0.1400
01/24/24 $0.1400
12/20/23 $0.2060
11/20/23 $0.1400
10/20/23 $0.1400
09/20/23 $0.1400
08/21/23 $0.1400
07/20/23 $0.1400
06/20/23 $0.1400
05/22/23 $0.1400
04/20/23 $0.1400
03/20/23 $0.1400
02/21/23 $0.1400
01/20/23 $0.1400
12/20/22 $0.4130
11/21/22 $0.1400
10/20/22 $0.1400
09/20/22 $0.1400
08/22/22 $0.1400
07/20/22 $0.1400
06/21/22 $0.1400
05/20/22 $0.1400
04/20/22 $0.1400
03/21/22 $0.1400
02/22/22 $0.1400
01/20/22 $0.1400
12/20/21 $0.6780
11/22/21 $0.1400
10/20/21 $0.1400
09/20/21 $0.1400
08/20/21 $0.1400
07/20/21 $0.1400
06/21/21 $0.1400
05/20/21 $0.1400
04/20/21 $0.1400
03/22/21 $0.1400
02/22/21 $0.1400
01/20/21 $0.1400
12/21/20 $0.1400
11/20/20 $0.1400
10/20/20 $0.1400
09/21/20 $0.1400
08/20/20 $0.1400
07/20/20 $0.1400
06/22/20 $0.1400
05/20/20 $0.1400
04/20/20 $0.1400
03/20/20 $0.1400
02/20/20 $0.1400
01/21/20 $0.1400
12/20/19 $0.1400
11/20/19 $0.1400
10/21/19 $0.1400
09/20/19 $0.1400
08/20/19 $0.1400
07/22/19 $0.1400
06/20/19 $0.1400
05/20/19 $0.1400
04/22/19 $0.1400
03/20/19 $0.1400
02/20/19 $0.1400
01/22/19 $0.1400
12/24/18 $0.0470
12/20/18 $0.1400
11/20/18 $0.1400
10/22/18 $0.1400
09/20/18 $0.1400
08/20/18 $0.1400
07/20/18 $0.1400
06/20/18 $0.1400
05/21/18 $0.1400
04/20/18 $0.1400
03/20/18 $0.1400
02/20/18 $0.1400
01/22/18 $0.1400
12/26/17 $0.0940
12/20/17 $0.1400
11/20/17 $0.1400
10/20/17 $0.1400
09/20/17 $0.1400
08/21/17 $0.1400
07/20/17 $0.1400
06/20/17 $0.1400
05/22/17 $0.1370
04/20/17 $0.1340
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