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The Fund is an actively managed exchange-traded fund ("ETF"). Utilizing a flexible and unconstrained investment approach, the Fund evaluates various asset classes and may consider opportunities across both U.S. and non-U.S. markets. The Fund invests at least 80% of its assets in bonds and other debt obligations. This investment policy is not fundamental, and if the Fund changes this investment policy, it will notify shareholders in writing at least 60 days in advance of the change. For purposes of the Fund's 80% investment policy, eligible bonds and other debt obligations include, but are not limited to: Debt securities issued or guaranteed by the U.S. Government or non-U.S. governments, including their agencies and instrumentalities, political subdivisions (e.g., provinces and municipalities), and supranational entities (e.g., the World Bank); Corporate debt securities and commercial paper issued by U.S. and non-U.S. companies, including fixed and floating rate interest corporate bonds; U.S. and non-U.S. mortgage-backed securities, both agency and non-agency, including commercial mortgage-backed securities (CMBS) and credit risk transfer (CRT) securities; Other asset-backed securities (ABS), including fixed and floating rate collateralized loan obligations.
Sterling Capital Multi-Strategy Income ETF trades on the BATS stock market under the symbol SCMC.
As of April 2, 2026, SCMC stock price climbed to $24.92 with 33,123 million shares trading.
SCMC has a beta of 0.18, meaning it tends to be less sensitive to market movements. SCMC has a correlation of 0.51 to the broad based SPY ETF.
SCMC has a market cap of $168.83 million. This is considered a Micro Cap stock.
SCMC support price is $24.80 and resistance is $24.94 (based on 1 day standard deviation move). This means that using the most recent 20 day stock volatility and applying a one standard deviation move around the stock's closing price, stastically there is a 67% probability that SCMC shares will trade within this expected range on the day.