![]() DUG 2 months ago | Other | $0.25 Per Share |
![]() DUG 5 months ago Paid | Quarterly | $0.24 Per Share |
![]() DUG 8 months ago Paid | Quarterly | $0.61 Per Share |
![]() DUG 11 months ago Paid | Quarterly | $0.6 Per Share |
![]() DUG 26 Jun 2024 Paid | Quarterly | $0.84 Per Share |
![]() DUG 2 months ago | Other | $0.25 Per Share |
![]() DUG 5 months ago Paid | Quarterly | $0.24 Per Share |
![]() DUG 8 months ago Paid | Quarterly | $0.61 Per Share |
![]() DUG 11 months ago Paid | Quarterly | $0.6 Per Share |
![]() DUG 26 Jun 2024 Paid | Quarterly | $0.84 Per Share |
ARCA Exchange | US Country |
The fund described invests in a variety of financial instruments with the aim of producing daily returns that align with its predetermined investment objective. Its strategy primarily targets the energy sector within the prestigious S&P 500 Index, focusing on those stocks identified by S&P Dow Jones Indices LLC. This focus reflects an investment philosophy that prioritizes sector-specific growth within the broader context of the U.S. equity market. Despite its targeted approach, the fund remains non-diversified, indicating a strategic decision to concentrate investments within this segment of the market rather than spreading them across a wider array of sectors. As such, this fund is tailored for investors seeking exposure to the energy sector's performance as part of their broader investment portfolio.
The cornerstone of the fund's investment strategy is the selection and management of financial instruments designed to generate returns that align with the fund's daily objectives. These instruments are carefully chosen by ProShare Advisors, leveraging their expertise to craft a portfolio that aims for consistency in its performance relative to the fund's goals.
By anchoring its investment in the energy sector of the S&P 500 Index, the fund offers investors a specialized opportunity to capitalize on the dynamics of this critical industry. The management team specifically targets companies within the energy sector, as defined and tracked by S&P Dow Jones Indices LLC, allowing for a focused investment approach that benefits from sector-specific trends and developments.
The fund's non-diversified status implies a more concentrated investment strategy, primarily within the energy sector. This approach allows for potentially greater returns due to the fund's focus but also involves a higher level of risk compared to diversified funds. For investors looking for targeted exposure to the energy sector's performance within the broader market context, this fund presents an option designed to meet such investment preferences.