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TPMN Timothy Plan Market Neutral ETF

23.87
0.04 (0.17%)
May 24 2024 - Closed
Delayed by 15 minutes

Period:

Draw Mode:

Volume 5,167
Bid Price
Ask Price
News -
Day High 23.9399

Low
23.165

52 Week Range

High
26.43

Day Low 23.86
Etf Name Etf Symbol Market Stock Type
Timothy Plan Market Neutral ETF TPMN AMEX Exchange Traded Fund
  Price Change Price Change % Etf Price Last Trade
0.04 0.17% 23.87 15:15:00
Open Price Low Price High Price Close Price Previous Close
23.88 23.86 23.9399 23.87 23.83
Trades Etfs Traded VWAP Financial Volume Average Volume 52 Week Range
33 5,167  23.91  123,524 - 23.165 - 26.43
Last Trade Type Quantity Price Currency
19:00:00 100  23.87 USD

Timothy Plan Market Neutral ETF Financials

Market Cap Shares in Issue Float Revenue Profit/Loss EPS PE Ratio
 41.30M - - - 8.58
Short Interest Dividends Per Share Dividend Yield Ex-Div Date Insider B/S Insider % Owned
- - - -

more financials information »

News Timothy Plan Market Neut...

Real-Time news about Timothy Plan Market Neutral ETF (American Stock Exchange): 0 recent articles
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TPMN Historical

Period † Open High Low VWAP Avg. Daily Vol Change %
1 Week23.9823.991923.81123.921,569-0.11-0.46%
1 Month23.6623.991923.5623.8510,1240.210.89%
3 Months23.4623.991923.16523.619,4700.411.75%
6 Months25.4025.6623.16523.928,603-1.53-6.02%
1 Year24.77926.4323.16524.5513,624-0.909-3.67%
3 Years25.0326.4323.16524.5911,432-1.16-4.63%
5 Years25.0326.4323.16524.5911,432-1.16-4.63%

The Timothy Plan Market Neutral Fund's investment objective is high current income and low correlation to stocks and bonds. Low correlation means limiting exposure to stock market risk. The Fund pursues its investment objective by implementing a proprietary, market neutral investment strategy designed to seek income from its investments while maintaining a low correlation to the foreign and domestic equity and bond markets. The fund will be actively managed, meaning that the Sub-Advisor may make changes to the Fund's portfolio at any time. A Market Neutral strategy seeks to generate returns that are independent and uncorrelated to the market action of equity and fixed income markets. It accomplishes this by seeking to minimize or eliminate beta (the portfolio's volatility in relation to movements in the market).

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