| Capital Markets Industry | Financials Sector | - CEO | REGS Exchange | ROEFRIACNOR6 ISIN |
| US Country | - Employees | 24 Jun 2026 Last Dividend | 24 May 2018 Last Split | - IPO Date |
The described company operates as an investment fund, focusing on generating daily returns that match a specific Daily Target. It achieves this objective by investing in a selection of financial instruments carefully chosen by ProShare Advisors. The fund’s investment strategy targets the international market, specifically developed countries outside of the United States and Canada. This approach allows the fund to cover approximately 85% of the market capitalization in these regions. Although this grants the fund considerable exposure to various markets, it maintains a non-diversified status, concentrating its investments to achieve its daily return objectives.
The primary service offered by the fund revolves around its unique investment strategy, specifically designed to meet its Daily Target return. By investing in financial instruments selected by ProShare Advisors, the fund seeks to achieve daily returns consistent with its pre-defined objective. This strategy is appealing to investors looking for predictable daily performance in their portfolios.
The fund offers investors unique exposure to developed markets outside the United States and Canada, covering approximately 85% of the market capitalization in these regions. This product is particularly attractive for investors seeking to diversify their investment portfolio internationally, with a focus on developed markets. Given this geographical focus, investors can gain international exposure while aiming for the fund’s target daily returns.
Despite its broad market exposure, the fund classifies as non-diversified. This classification means that it may invest a larger portion of its assets in fewer issuers than a diversified fund. This approach allows for potentially higher returns but also comes with a higher risk, making it suitable for investors with a specific risk tolerance and investment objective that align with the fund's strategy.