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ETF · Equity

LVIG Longview Advantage Fixed Income ETF

LVIG builds exposure to investment grade bond markets primarily through ETFs holding US dollar-denominated fixed income securities. These underlying funds may include Treasuries, agency bonds, corporate debt, and securitized instruments such as mortgage- and asset-backed securities. Rather than selecting individual bonds directly, the strategy allocates across ETFs to target different segments of the yield and credit curves based on expected return opportunities. Portfolio construction is guided by an analytical framework designed to capture term and credit premiums and assess expected income and price appreciation based on the shape of the yield curve. The strategy may also rotate between similar ETFs around dividend dates to avoid receiving distributions, keeping capital continuously invested and reducing reinvestment frictions. The portfolio generally maintains duration within two years of the Bloomberg US Aggregate Bond Index.

AUM
Expense ratio
34.00%
NAV
$97.82
USD
Holdings
0
Longview
1y return

Country allocation

0
  • No data.

Sector weighting

0
  • No data.

Concentration

Live · FMPDiversified
Top 10 holdings0.0%
Top 25 holdings0.0%
0 total holdings · 100% in the long tail

Top holdings

0
SymbolNameSharesMarket valueWeightAsset exposure
No holdings reported.