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ProShares Merger ETF

Fund Name:
ProShares Merger ETF
Issuer:
ProShares
Total Net Assets:
$15,161,155
Inception:
12/11/12
Related Index:
S&P Merger Arbitrage Index
ETF Category: 
Miscellaneous
Expense Ratio: 
0.75 
Net Asset Value: 
$37.90  
Recent NAV Premium: 
0.00% 
NAV Symbol: 
MRGR.NV  
Number of Holdings: 
31  
Annualized Yield: 
2.51%  
Annualized Distribution: 
0.95  
MRGR Dividend History » 
Stock Weight Amount
Altra Industrial Motion 2.75% $416,325
Evo Payments Inc-class A 2.69% $408,424
Signify Health Inc -class A 2.62% $397,745
Aerojet Rocketdyne Holdings 2.61% $396,372
Oak Street Health 2.60% $394,879
List of all 24 stocks held by MRGR »
Future Weight Contracts
Australia Dollar Currency Contract - Usd NA% -601,000
Denmark Krone Currency Contract - Usd NA% -2,579,000
S&P Merger Arbitrage Short Sub-index Swap Citibank NA NA% -3
S&P Merger Arbitrage Short Sub-index Swap Societe Generale NA% -1,017
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Hold (2.38 out of 4)
0th percentile
(ranked lower than approx. 100% of all etfs covered)
Based on data provided by Zacks Investment Research via Quandl.com

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