[FWDB] AdvisorShares Trust

Overview

Type of security: Fund

Tags: Actively Managed, Bond, ETF, Global, Not Inversed, Regional, Unleveraged

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Price: 25.21 Change: 0 (0%)
Ext. hours: 25 Change: 0 (0%)

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Strongest Trends Summary For FWDB

FWDB is in the medium-term down -5% in 6 months. In the long-term up 20% in 10 years.

Horizon: 3 hours | 2 days | 5 days | 10 days | 1 month | 6 months | 1 year | 2 years | 5 years | max

Chart type: absolute | relative to S&P

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Description: The investment seeks investment results that exceed the price and yield performance of its benchmark, the Barclays U.S. Aggregate Bond Index. The Sub-Advisor selects a portfolio of fixed income (bond) exchange-traded funds (the "Underlying ETFs") and other exchange-traded products, including, but not limited to, exchange-traded notes ("ETNs"), exchange-traded currency trusts, and exchange-traded commodity pools. It invests in underlying ETFs that provide exposure to at least 12 distinct bond classes, including, but not limited to, short-term treasury bonds, municipal bonds, and high-yield U.S. corporate bonds (sometimes referred to as "junk bonds").

Technical Data
High 52 week26.94 Low 52 week24.22 Last close24.22 Last change-0.18%
RSI23.4 Average true range0.22 Beta0.06 Volume
Simple moving average 20 days-0.79% Simple moving average 50 days-1.35% Simple moving average 200 days-3.42%
Performance Data
Performance Week-0.67% Performance Month-1.45% Performance Quart-2.68% Performance Half-4.57%
Performance Year-5.73% Performance Year-to-date-5.05% Volatility daily0.23% Volatility weekly0.52%
Volatility monthly1.06% Volatility yearly3.69% Relative Volume0% Average Volume1.5 K
New High New Low
Funds Characteristics
30-day SEC yield Average market capitalization Average weighted market capitalization Forward P/E
Gross expense ratio Index dividend yield Median market cap Number of holdings
Price to Book Value Price to Earnings Total expense ratio Total net assets24.3 M
Weighted market capitalization

Info

Characteristics:
NAME VALUE
Prospectus Gross Expense Ratio1,4
Total Net Assets24304073
Asset Class Breakdown:
NAME VALUE
Cash4,62
Us Equity1,16
Non-us Equity2
Us Bond45,97
Non-us Bond31,84
Other14,42
Top Holdings:
NAME VALUE
Ishares Iboxx Invst Grade Crp Bond 3.85mil15,8
Advisorshares Peritus High Yield Etf 3.08mil12,65
Powershares Financial Preferred 2.16mil8,88
Powershares Senior Loan Port 2.14mil8,8
Powershares Emerging Mkts Sovereign Debt 1.98mil8,12
Spdr Barclays Capital Convertible Secs 1.71mil7,01
Vanguard Mortgage-backed Sec Idx Etf 1.68mil6,9
Wisdomtree Emer Mkts Corporate Bond 1.235,03
Powershares International Corporate Bond 0.95mil3,89
Vanguard Long-term Govt Bd Idx Etf 0.73mil3,02

News

2018-12-27 13:00:00 | AdvisorShares Announces December 2018 Distributions

2018-11-30 13:00:00 | AdvisorShares Announces November 2018 Distributions

2018-10-31 14:00:00 | AdvisorShares Announces October 2018 Distributions

2018-09-28 13:00:00 | AdvisorShares Announces September 2018 Distributions

2018-08-28 13:00:00 | AdvisorShares Announces August 2018 Distributions

2018-07-31 15:40:00 | AdvisorShares Announces July 2018 Distributions

2018-06-28 12:00:00 | AdvisorShares Announces June 2018 Distributions

2018-05-30 12:00:00 | AdvisorShares Announces May 2018 Distributions

2018-04-27 11:30:00 | AdvisorShares Announces April 2018 Distributions

2018-04-02 16:20:00 | AdvisorShares Announces March 2018 Distributions

2018-02-28 11:30:00 | AdvisorShares Announces February 2018 Distributions

2018-01-31 16:30:00 | AdvisorShares Announces January 2018 Distributions

2017-12-29 09:00:00 | AdvisorShares Announces December 2017 Distributions

2017-11-30 13:00:00 | AdvisorShares Announces November 2017 Distributions

2017-10-31 11:00:00 | AdvisorShares Announces October 2017 Distributions

2017-09-28 11:30:00 | AdvisorShares Announces September 2017 Distributions

2017-08-28 10:30:00 | AdvisorShares Announces August 2017 Distributions

2017-07-28 10:45:00 | AdvisorShares Announces July 2017 Distributions

2017-06-27 12:15:00 | AdvisorShares Announces June 2017 Distributions

2017-05-26 11:00:00 | AdvisorShares Announces May 2017 Distributions

2017-04-25 10:30:00 | AdvisorShares Announces April 2017 Distributions

2017-03-31 15:15:00 | AdvisorShares Announces March 2017 Distributions

2017-03-14 12:55:48 | How Would the Fed’s Interest Rate Hike Impact the Bond Market?

2017-02-28 12:30:00 | AdvisorShares Announces February 2017 Distributions

2017-01-31 14:15:00 | AdvisorShares Announces January 2017 Distributions

2016-12-29 13:15:00 | AdvisorShares Announces December 2016 Distributions

2016-11-29 11:00:00 | AdvisorShares Announces November 2016 Distributions

2016-10-31 11:15:00 | AdvisorShares Announces October 2016 Distributions

2016-09-30 15:15:00 | AdvisorShares Announces September 2016 Distributions

2016-08-31 14:30:00 | AdvisorShares Announces August 2016 Distributions

2016-07-29 12:30:00 | AdvisorShares Announces July 2016 Distributions

2016-06-29 10:30:00 | AdvisorShares Announces June 2016 Distributions

2016-05-27 10:00:00 | AdvisorShares Announces May 2016 Distributions

2016-04-27 09:00:00 | AdvisorShares Announces April 2016 Distributions

2016-03-29 12:00:00 | AdvisorShares Announces March 2016 Distributions

2016-02-29 10:30:00 | AdvisorShares Announces February 2016 Distributions

2016-01-28 12:30:00 | AdvisorShares Announces January 2016 Distributions

2015-12-30 10:00:00 | AdvisorShares Announces December 2015 Distributions

2015-11-25 09:00:00 | AdvisorShares Announces November 2015 Distributions