Some important comparison metrics here are expense ratio, issuer, AUM, and shares outstanding, among others. Furthermore, ADV in the 11th and 12th row, which stands for Average Daily Volume, can help investors avoid illiquid ETFs.
Name | DoubleLine Shiller CAPE U.S. Equities ETF | DoubleLine Opportunistic Bond ETF |
ETF Database Category | Global Equities | Total Bond Market |
Index | Shiller Barclays CAPE US Sector Index | Bloomberg US Aggregate Bond Index |
Index Description | View Index | View Index |
Expense Ratio | 0.65% | 0.50% |
Issuer | Doubleline ETF Adviser LP | Doubleline ETF Adviser LP |
Structure | ETN | ETF |
Inception Date | 2022-03-31 | 2022-03-31 |
AUM | $249M | $150M |
Shares Outstanding | 11M | 3.24M |
ADV(1 month) | 22,735.0 | 22,643.0 |
ADV(3 month) | 32,448.0 | 31,475.0 |
ETF Home Page | View Page | View Page |
Fact Sheet Link | Fact Sheet | Fact Sheet |
ESG Scores represent how an ETF's constituents, in aggregate, manage ESG risks and opportunities. Compare ESG metrics across multiple themes including environmental, social, governance and morality.
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