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TOAK ETF Profile


Family: Twin Oak
Name: Twin Oak Short Horizon Absolute Return ETF
Inception Date: 19-Aug-2024
Termination Date:
Investment Objective: The Twin Oak Short Horizon Absolute Return ETF (the "Fund") seeks capital appreciation with low price volatility. The Adviser considers 'low price volatility' to mean stable returns. The Fund seeks to achieve its objective principally by utilizing defined risk options to generate an absolute return while maintaining a short duration between zero and one year. Defined risk options are options for which the maximum loss for any option during each expiry period is no more than the premium invested to enter the option position. The Fund will invest in long calls, long puts, and debit spread options. The allocation between various strategies will be based on an assessment by the portfolio managers of the attractiveness of either strategy given current economic and market conditions and the existing holdings of the Fund. In any scenario, long calls will always be paired with long puts and for the vertical debit spreads, long vertical debit call spreads will be paired with long vertical debit put spreads. The primary factors informing the Adviser's assessment will be price, duration, liquidity, and risk of a position and its impact on the Fund's overall portfolio.
Prospectus
Top 10 Holdings
SPY 01/16/2026 20.01 C 54.4900%
SPY 01/16/2026 1020.01 P 26.5700%
SPY 04/17/2026 20.01 C 12.7500%
SPY 04/17/2026 1020.01 P 6.0700%
Cash & Other 0.1100%
Top 10 Holdings Weight: 100.0%
Number of Holdings: 5
Shares Outstanding: 1,960,000
Total Net Assets: 55,654,200
NAV: 28.36
Net Expense Ratio: 0.25%
Asset Class: Equities (Stocks)
Developed or Emerging: Developed Market Funds
Country: US
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Strategy: Buy-Write strategy
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Market Cap: Broad Market / Multi-Cap
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Is Currency Hedged: No
US or Ex-US: Domestic
Market Data Delayed 15 Minutes