$CNAV

Mohr Company Nav ETF

Investment Objective:
The Mohr Company Nav ETF (the “Fund”) seeks to provide capital appreciation.

As of:
Oct 2, 2024
MM/DD/YYYY
Market Price
$
XX.XX
24.78
0.00
%
0.00
%
0.00
%
NAV Price
$
XX.XX
24.77
0.00
%
0.00
%
0.00
%
Net Assets
$
XXX,XXX,XXX
29481060
Expense Ratio
0.98
%

Principal Investment Strategies

The Fund is an actively managed exchange traded fund (“ETF”) that is managed by Retireful, LLC (the “Adviser”) and designed for investors looking for long-term growth and who can tolerate large principal value fluctuations. The Adviser seeks to achieve the Fund’s investment objective by using a tactical approach to invest in (1) the common stocks of companies across the various industries that are found in the S&P 500 Index, or (2) money market funds.

Performance

As of:

Oct 2, 2024

MM/DD/YYYY

{"labels":["2024-09-30","2024-10-01","2024-10-02"],"mp_data":["25","24.8731","24.777"],"nav_data":["25","24.8243","24.774"]}
NAV
X.XX
%
X.XX
%
X.XX
%
X.XX
%
X.XX
%
X.XX
%
Market Price
X.XX
%
X.XX
%
X.XX
%
X.XX
%
X.XX
%
X.XX
%

Performance Disclosure

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 above. Returns less than one year are not annualized.
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. The Fund does not have a track record of reporting to investors or widely available research coverage which may result in price volatility.
Market performance is the price at which shares in the ETF can be brought or sold on the exchanges during trading hours, while the net asset value (NAV) represents the value of each share’s portion of the fund’s underlying assets and cash at the end of the trading day.
Performance Data current to the most recent month end may be obtained by at (866) 464-6608.

Holdings

As of:

Oct 2, 2024

MM/DD/YYYY

CASH AND CASH EQUIVALENTS
% of Fund:
5.21
%
Ticker:
CUSIP:
Shares:
1536023
Market Value:
$
1536023.41
CASH AND CASH EQUIVALENTS
5.21
X.XX
%
1536023
XX
$
1536023.41
XXX,XXX
APPLOVIN CORP
% of Fund:
3.40
%
Ticker:
APP
CUSIP:
03831W108
Shares:
7616
Market Value:
$
1000437.76
APP
APPLOVIN CORP
03831W108
3.40
X.XX
%
7616
XX
$
1000437.76
XXX,XXX
SBA COMMUNICATIONS CORP
% of Fund:
3.32
%
Ticker:
SBAC
CUSIP:
78410G104
Shares:
4046
Market Value:
$
979010.62
SBAC
SBA COMMUNICATIONS CORP
78410G104
3.32
X.XX
%
4046
XX
$
979010.62
XXX,XXX
BUILDERS FIRSTSOURCE INC
% of Fund:
3.31
%
Ticker:
BLDR
CUSIP:
12008R107
Shares:
4998
Market Value:
$
975709.56
BLDR
BUILDERS FIRSTSOURCE INC
12008R107
3.31
X.XX
%
4998
XX
$
975709.56
XXX,XXX
VERTIV HOLDINGS CO
% of Fund:
3.30
%
Ticker:
VRT
CUSIP:
92537N108
Shares:
9518
Market Value:
$
973501.04
VRT
VERTIV HOLDINGS CO
92537N108
3.30
X.XX
%
9518
XX
$
973501.04
XXX,XXX
GLOBAL PAYMENTS INC
% of Fund:
3.29
%
Ticker:
GPN
CUSIP:
37940X102
Shares:
9920
Market Value:
$
968787.2
GPN
GLOBAL PAYMENTS INC
37940X102
3.29
X.XX
%
9920
XX
$
968787.2
XXX,XXX
MCDONALDS CORP
% of Fund:
3.29
%
Ticker:
MCD
CUSIP:
580135101
Shares:
3187
Market Value:
$
968083.12
MCD
MCDONALDS CORP
580135101
3.29
X.XX
%
3187
XX
$
968083.12
XXX,XXX
CHIPOTLE MEXICAN GRILL INC
% of Fund:
3.29
%
Ticker:
CMG
CUSIP:
169656105
Shares:
16804
Market Value:
$
969254.72
CMG
CHIPOTLE MEXICAN GRILL INC
169656105
3.29
X.XX
%
16804
XX
$
969254.72
XXX,XXX
AXON ENTERPRISE INC
% of Fund:
3.28
%
Ticker:
AXON
CUSIP:
05464C101
Shares:
2388
Market Value:
$
965969.88
AXON
AXON ENTERPRISE INC
05464C101
3.28
X.XX
%
2388
XX
$
965969.88
XXX,XXX
DAYFORCE INC
% of Fund:
3.28
%
Ticker:
DAY
CUSIP:
15677J108
Shares:
15654
Market Value:
$
966791.04
DAY
DAYFORCE INC
15677J108
3.28
X.XX
%
15654
XX
$
966791.04
XXX,XXX
Fund holdings and allocations are subject to change and should not be considered recommendations to buy or sell any security.

Premium/Discount

{"labels":["2024-09-30","2024-10-01","2024-10-02"],"premium_discount":[0,0.1966,0.0121]}
The performance data quoted represents past performance. Past performance does not guarantee future results.

Supplemental Discussion

Retireful, LLC (“Advisor”) will provide a discussion in the event the ETF’s premium or discount has been greater than 2% for seven consecutive trading days.
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