Family: | First Trust |
Name: | First Trust Managed Futures Strategy Fund |
Inception Date: | 1-Aug-2013 |
Termination Date: | |
Investment Objective: | The fund will generally seek to hold similar instruments to those included in the benchmark but the actively managed structure allows the investment team flexibility to manage the contract selection and rolls to seek to exceed the performance of the index. |
Prospectus | |
Top 10 Holdings | ||
Top 10 Holdings Weight: |
Number of Holdings: | |
Shares Outstanding: | 3,352,000 |
Total Net Assets: | 157,041,200 |
NAV: | 46.87 |
Net Expense Ratio: | 0.95% |
Asset Class: | Hedge Fund Replication |
Developed or Emerging: | Funds Combining Developed & Emerging Exposure |
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Strategy: | Other Quant Model |
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Is Currency Hedged: | No |
US or Ex-US: | Global |