Performance History (%) - 6/30/15
|RevenueShares Financials Sector (NAV Price)™||-0.72||8.57||23.17||14.17||14.77|
|RevenueShares Financials Sector (Market Price)™||-0.67||8.66||23.21||14.18||14.72|
|RevenueShares Financials Sector Index™||-0.43||9.18||23.81||14.78||6.76|
|S&P 500® Financials Sector Index||-0.36||9.31||20.75||14.09||11.55|
Past performance is no guarantee of future results. The RevenueShares Financials Sector Index™ returns are historical and reflect the reinvestment of dividends and capital gains. 10/1/2008 is the date S&P® began supplying index data to various service providers. Index returns shown are not reflective of Fund performance nor reflect fees and expenses applicable to the Fund. One cannot invest directly in an index. For the Fund's most recent month end performance, click here.
|Index Bloomberg Ticker||REVWFINT|
|Gross Expense Ratio||0.80|
|Net Expense Ratio||0.49|
|Number of Securities||83|
The Fund's investment objectives, risks, charges and expenses must be considered carefully before investing. The prospectus and summary prospectus contain this and other important information about the Fund, and may be obtained by calling 888-854-8181 or visiting www.revenueshares.com. Read the prospectus and summary prospectuses carefully before investing. Foreside Fund Services, LLC, Distributor.
An investment in the Funds is subject to investment risk, including the possible loss of principal amount invested. Fund returns may not match the return of their respective Index, known as non-correlation risk, due to operating expenses incurred by the Fund. The alternative weighting approach employed by the Fund (i.e., using revenues as a weighting measure), while designed to enhance potential returns, may not produce the desired results. The risks associated with each specific fund are detailed in the prospectus and could include factors such as increased volatility risk, small and medium capitalization stock risk, concentration risk, non-diversification risk, financials sector risk, American Depositary Receipt risk, currency exchange risk, foreign market risk, growth style investing risk, portfolio turnover risk, and/or special risks of exchange-traded funds.
The Fund’s per share net asset value or “NAV” is the value of one share of the Fund as calculated in accordance with the standard formula for valuing mutual fund shares. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market return (“Market Price” or “MP”) is determined by using the midpoint between the highest bid and the lowest offer on the primary stock exchange on which the shares of the Fund are listed for trading when the fund’s NAV is calculated at market close. Market and NAV returns assume that dividends and capital gain distributions have been reinvested in the Fund at Market Price and NAV, respectively.) Returns less than one year are cumulative.
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Investment products offered are: Not FDIC Insured • No Bank Guarantee • May Lose Value
The dividend yield of a share is the company's total annual dividend payments divided by its market capitalization, or the dividend per share, divided by the price per share.