YMAR
FT Vest International Equity Moderate Buffer ETF - March

Price: $24.09
Change: $0.11 (0.0%)
Category: Global Equities
Last Updated:

Vitals

Issuer First Trust
Brand FT Vest
Structure ETF
Expense Ratio 0.90%
ETF Home Page Home page
Inception Mar 19, 2021
Index Tracked ACTIVE - No Index

Analyst Report

Pending

Download the FactSet Analyst Insight Report here.

ETF Database Themes

Category Global Equities
Asset Class Equity
Asset Class Size Multi-Cap
Asset Class Style Blend
Region (General) Developed Markets
Region (Specific) Broad

FactSet Classifications

Segment Equity: Developed Markets Ex-North America - Total Market
Category Size and Style
Focus Total Market
Niche Broad-based
Strategy Buy-write
Weighting Scheme Fixed

Trading Data

Open - Volume -
Day Lo - Day Hi -
  • Open
  • Volume
  • Day Lo
  • Day Hi
  • 52 Week Lo $19.65
  • 52 Week Hi $24.39
  • AUM $94.8 M
  • Shares 4.0 M

Historical Trading Data

  • 1 Month Avg. Volume 16,786
  • 3 Month Avg. Volume 17,561

Alternative ETFs in the ETF Database Global Equities Category

Type Symbol Expense Ratio Assets Avg. Daily Vol YTD Return
Cheapest WEED 0.00% $5.1 M 6,673 -1.41%
Largest (AUM) DFAI 0.18% $7.3 B 789,033 11.67%
Most Liquid (Volume) EWC 0.50% $2.9 B 2 M 14.50%
Top YTD Performer FMAG 0.59% $143.9 M 47,023 31.03%

Alternative ETFs in the FactSet Equity: Developed Markets Ex-North America - Total Market Segment

Type Symbol Expense Ratio Assets Avg. Daily Vol YTD Return
Cheapest EFAA 0.00% $123.6 M N/A N/A
Largest (AUM) IEFA 0.07% $125.0 B 7 M 11.17%
Most Liquid (Volume) EFA 0.35% $57.1 B 11 M 11.45%
Top YTD Performer DBEF 0.35% $6.5 B 526,097 15.79%

Top 15 Holdings

Concentration Analysis

This section compares how balanced and deep this ETF is relative to its peers.

Holdings Comparison

YMAR ETF Database Category Average FactSet Segment Average
Number of Holdings 3 300 345
% of Assets in Top 10 99.99% 42.62% 53.48%
% of Assets in Top 15 99.99% 51.48% 56.52%
% of Assets in Top 50 99.99% 80.22% 70.83%

Size Comparison

YMAR ETF Database Category Average FactSet Segment Average
Large (>12.9B) N/A 54.30% 42.91%
Mid (>2.7B) N/A 16.52% 9.68%
Small (>600M) N/A 7.22% 0.73%
Micro (<600M) N/A 1.72% 0.02%

YMAR Valuation

This section compares the P/E ratio of this ETF to its peers.

YMAR
P/E Ratio
0.07
ETF Database Category Average
P/E Ratio
8.38
FactSet Segment Average
P/E Ratio
6.54

YMAR Dividend

This section compares the dividend yield of this ETF to its peers.

YMAR ETF Database Category Average FactSet Segment Average
Dividend N/A $ 0.28 $ 0.40
Dividend Date N/A N/A N/A
Annual Dividend Rate N/A $ 0.71 $ 0.81
Annual Dividend Yield N/A 2.06% 1.57%

YMAR Price and Volume Charts

View charts featuring YMAR price and volume data.

YMAR Fund Flows Charts

View charts featuring ETF fund flow data.

5 Day Net Flows: -4.78 M 1 Month Net Flows: -4.75 M 3 Month Net Flows: -7.1 M 6 Month Net Flows: 12.48 M 1 Year Net Flows: 21.35 M 3 Year Net Flows: 76.44 M 5 Year Net Flows: 85.7 M 10 Year Net Flows: 85.7 M

YMAR Price vs Flows AUM Influence Charts

View charts that break down the influence that fund flows and price had on overall assets.

5 Day Net AUM Change: -5.44 M
1 Month Net AUM Change: -3.19 M
3 Month Net AUM Change: -5.25 M
6 Month Net AUM Change: 17.02 M
1 Year Net AUM Change: 34.02 M
3 Year Net AUM Change: 85.19 M
5 Year Net AUM Change: 92.4 M
10 Year Net AUM Change: 92.4 M

Realtime Rating

The adjacent table gives investors an individual Realtime Rating for YMAR on several different metrics, including liquidity, expenses, performance, volatility, dividend, concentration of holdings in addition to an overall rating. The "A+ Metric Rated ETF" field, available to ETF Database Pro members, shows the ETF in the Global Equities with the highest Metric Realtime Rating for each individual field. To view all of this data, sign up for a free 14-day trial for ETF Database Pro. To view information on how the ETF Database Realtime Ratings work, click here.

Metric Metric Realtime Rating A+ Metric Rated ETF
Liquidity B+ EWC
Expenses C+ SPGM
Performance
Volatility
Dividend
Concentration

A+ Overall Rated ETF:

YMAR Expenses & Fees

This section compares the cost efficiency of this ETF to its peers.

Expenses Ratio Analysis

YMAR
Expense Ratio
0.90%
ETF Database Category Average
Expense Ratio
0.65%
FactSet Segment Average
Expense Ratio
0.52%

Tax Analysis

Max ST Capital Gains Rate 39.60%
Max LT Capital Gains Rate 20.00%
Tax On Distributions Qualified dividends
Distributes K1 No
ESG Themes and Scores

YMAR does not have an ESG score. There are no ESG themes that map to this ETF.

YMAR Performance

This section shows how this ETF has performed relative to its peers. Returns over 1 year are annualized.

YMAR ETF Database
Category Average
Factset Segment
Average
1 Month Return 1.13% 3.37% 0.86%
3 Month Return 1.30% 3.54% 1.26%
YTD Return 9.00% 12.34% 7.83%
1 Year Return 19.14% 24.80% 14.29%
3 Year Return 5.23% 1.35% 3.15%
5 Year Return N/A 3.15% 3.21%

Geographic Exposure

The following charts reflect the geographic spread of YMAR's underlying holdings.

Region Percentage
Other 99.32%
North, Central and South America 0.67%
Country Percentage
Other 99.99%

Holdings Analysis

The following charts reflect the allocation of YMAR's underlying holdings.

Sector Percentage
Other 99.32%
Miscellaneous 0.67%
CASH 0.0%
Market Cap Percentage
Large 0.0%
Mid 0.0%
Small 0.0%
Micro 0.0%
Region Percentage
Asset Percentage
Other 99.32%
Open-ended Fund 0.67%
CASH 0.0%
Sector Percentage
Other 99.32%
Miscellaneous 0.67%
CASH 0.0%

YMAR Technicals

Volatility Analysis

This section shows how the volatility of this ETF compares to the peer group ETF Database Category.

5 Day Volatility 10.89%
20 Day Volatility 8.76%
50 Day Volatility 9.08%
200 Day Volatility 9.16%
Beta 0.6
Standard Deviation 1.16%
5 Day Volatility
10.89%
Rank
90 of 95

20 Day Volatility
8.76%
Rank
84 of 95

50 Day Volatility
9.08%
Rank
93 of 95

200 Day Volatility
9.16%
Rank
93 of 95

Beta
0.6
Rank
71 of 86

Standard Deviation
1.16%
Rank
80 of 92

Technicals

  • 20 Day MA $24.04
  • 60 Day MA $23.70
  • MACD 15 Period 0.03
  • MACD 100 Period 0.52
  • Williams % Range 10 Day 13.89
  • Williams % Range 20 Day 49.18
  • RSI 10 Day 56
  • RSI 20 Day 55
  • RSI 30 Day 55
  • Ultimate Oscillator 62

Bollinger Bands

  • Lower Bollinger (10 Day) $23.82
  • Upper Bollinger (10 Day) $24.14
  • Lower Bollinger (20 Day) $23.77
  • Upper Bollinger (20 Day) $24.32
  • Lower Bollinger (30 Day) $23.55
  • Upper Bollinger (30 Day) $24.34

Support & Resistance

  • Support Level 1 $24.04
  • Support Level 2 $23.98
  • Resistance Level 1 $24.12
  • Resistance Level 2 $24.14

Stochastic

  • Stochastic Oscillator %D (1 Day) 67.19
  • Stochastic Oscillator %D (5 Day) 68.44
  • Stochastic Oscillator %K (1 Day) 53.54
  • Stochastic Oscillator %K (5 Day) 48.16

Tradability

  • Tracking Difference Median (%) n/a
  • Tracking Difference Max Upside (%) n/a
  • Tracking Difference Max Downside (%) n/a
  • Median Premium Discount (%) 0.02
  • Maximum Premium Discount (%) 1.13
  • Average Spread (%) 6.70
  • Average Spread ($) 6.70

Financial Advisor Report

ETF Database's Financial Advisor Reports are designed as an easy handout for clients to explain the key information on a fund. Includes new analyst insights and classification data.

Fact Sheet

Fact sheets are issued by the ETF provider and framed by ETF Database. Information contained within the fact sheet is not guaranteed to be timely or accurate.

Data Lineage

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Analyst Report Authors

ETF Database analysts have a combined 50 years in the ETF and Financial markets, covering every asset class and investment style. The team monitors new filings, new launches and new issuers to make sure we place each new ETF in the appropriate context so Financial Advisors can construct high quality portfolios.

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Copyright MSCI ESG Research LLC [2018]. All Rights Reserved. MSCI ESG Research LLC’s (“MSCI ESG”) Fund Metrics products (the “Information”) provide environmental, social and governance data with respect to underlying securities within more than 23,000 multi-asset class Mutual Funds and ETFs globally. MSCI ESG is a Registered Investment Adviser under the Investment Advisers Act of 1940. MSCI ESG materials have not been submitted, to nor received approval from, the US SEC or any other regulatory body. None of the information constitutes an offer to buy or sell, or a promotion or recommendation of, any security, financial instrument or product or trading strategy, nor should it be taken as an indication or guarantee of any future performance, analysis, forecast or prediction. None of the Information can be used to determine which securities to buy or sell or when to buy or sell them. The Information is provided “as is” and the user of the Information assumes the entire risk of any use it may make or permit to be made of the Information. All Information is provided solely for your internal use, and may not be reproduced or redisseminated in any form without express prior written permission from MSCI. Neither MSCI ESG nor any of its affiliates or any third party involved in or related to creating any Information makes any express or implied warranties, representations or guarantees, and in no event will MSCI ESG or any such affiliate or third party have any liability for any direct, indirect, special, punitive, consequential or any other damages (including lost profits) relating to any Information. More information on MSCI ESG Fund Metrics, provided by MSCI ESG Research LLC, can be found at https://www.msci.com/esg-fund-metrics.
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