ADM Energy PLC logo

ADM Energy PLC (GB00BJFDXW97)

Market Closed
30 Jun, 20:00
XSTU XSTU
0. 00
0
0%
- Market Cap
- P/E Ratio
0.22% Div Yield
3.3M Volume
- Eps
0
Previous Close
Add Transaction
Day Range
0 0
Year Range
0 0
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Summary

GB00BJFDXW97 closed Tuesday higher at €0, an increase of 0% from Monday's close, completing a monthly increase of 0% or €0. Over the past 12 months, GB00BJFDXW97 stock lost -50%.
GB00BJFDXW97 pays dividends to its shareholders, with the most recent payment made on Jun 30, 2026. The next estimated payment will be in In 2 months on Sep 30, 2026 for a total of €0.05303.
The stock of the company had never split.
The company's stock is traded on 2 different exchanges and in various currencies, with the primary listing on BATS (USD).

GB00BJFDXW97 Chart

5 ETFs to Bet On Amid Tech-Driven Market Sell-Off

5 ETFs to Bet On Amid Tech-Driven Market Sell-Off

Volatility has risen in recent weeks amid the tech sell-off and upcoming elections. Investors should apply some hedging techniques to their equity portfolio to reduce the overall volatility or protect against significant market downturns.

Zacks | 1 year ago

ADM Energy PLC (GB00BJFDXW97) FAQ

What is the stock price today?

The current price is €0.00.

On which exchange is it traded?

ADM Energy PLC is listed on XSTU.

What is its stock symbol?

The ticker symbol is GB00BJFDXW97.

Does it pay dividends? What is the current yield?

Yes, It pays dividends and the current yield is 0.22%.

What is its market cap?

As of today, no market cap data is available.

Has ADM Energy PLC ever had a stock split?

No, there has never been a stock split.

ADM Energy PLC Profile

Capital Markets Industry
Financials Sector
Charles J. Fisher CEO
XSTU Exchange
US26922A7845 ISIN
US Country
10 Employees
29 Jun 2026 Last Dividend
- Last Split
- IPO Date

Overview

The fund mentioned is an actively managed exchange-traded fund (ETF) focused on investments primarily within the landscape of U.S.-listed equity securities. Its strategic objective is to maximize returns for its investors while simultaneously aiming to minimize the downside risk associated with equity investments. This is principally achieved through the purchase of exchange-listed put options on either the equity securities within its portfolio or on broad-based indexes or ETFs that reflect the broader U.S. equity market performance. Such a strategic approach aims to provide investors with a measure of protection against market volatility and downturns, thus aligning with the fund's risk management ethos.

Products and Services

  • Equity Securities Investments
  • At the core of the fund's investment strategy lies its commitment to equity securities that are listed on U.S. exchanges. This encompasses a wide array of stocks across various sectors, aiming to capitalize on the growth potential within the American market. By allocating at least 80% of its net assets (plus any borrowings for investment purposes) towards these securities, the fund positions itself to benefit from the appreciation of U.S. equities over time.

  • Put Options for Risk Management
  • To hedge against the inherent risks of equity investments, the fund employs a distinctive strategy of purchasing put options. These options can be based on the individual equity securities within the fund’s portfolio, or they can target broad-based indexes or other ETFs that track the overall performance of the U.S. equity market. This approach serves as a safeguard, aiming to limit the fund's downside risk during periods of market volatility or decline, thereby offering an added layer of security to the investors' capital.

Contact Information

Address: 314 Magnolia Avenue
Phone: 1-251-517-7198