CGV CGV In 2 months Estimated | Other | $0.22 Per Share |
CGV CGV 3 weeks ago Paid | Other | $0.22 Per Share |
CGV CGV 3 months ago Paid | Quarterly | $0.06 Per Share |
CGV CGV 7 months ago Paid | Quarterly | $0.14 Per Share |
CGV CGV 9 months ago Paid | Quarterly | $0.04 Per Share |
CGV CGV 27 Jun 2024 Paid | Quarterly | $0.16 Per Share |
CGV CGV In 2 months Estimated | Other | $0.22 Per Share |
CGV CGV 3 weeks ago Paid | Other | $0.22 Per Share |
CGV CGV 3 months ago Paid | Quarterly | $0.06 Per Share |
CGV CGV 7 months ago Paid | Quarterly | $0.14 Per Share |
CGV CGV 9 months ago Paid | Quarterly | $0.04 Per Share |
CGV CGV 27 Jun 2024 Paid | Quarterly | $0.16 Per Share |
NYSE Exchange | US Country |
The described fund operates as an actively-managed exchange-traded fund (ETF) primarily focused on investing in equity securities or investments closely aligned with equity securities. It targets companies that display strong fundamental characteristics, aiming to meet its investment objectives through meticulous selection of equity securities. By committing at least 80% of its assets towards investments in this domain, the fund seeks to leverage the potential financial growth and stability inherent in these equities, thus providing its investors with a strategic avenue for potentially rewarding investments.
This product is a type of investment fund and exchange-traded product, designed to be traded on stock exchanges. The actively-managed ETF aims to achieve higher returns through the selection of equity securities, guided by comprehensive market analysis and investment strategies. It differentiates itself from passive ETFs by not strictly tracking a specific index, instead handpicking investments that show promise based on the fund's investment objectives and criteria for strong fundamental attributes.
At the core of the fund's strategy is its investment in equity securities, or stakes in companies through stocks that are believed to provide economic benefits tied to equity securities. This includes a wide range of investments from direct stocks to instruments economically tied to the value of stocks. The emphasis is on selecting companies that exhibit strong fundamentals such as solid financial health, potential for growth, and stability, aiming to secure sustained returns over time for the fund's shareholders.