Overview

Performance

Distributions

Growth of $10,000

Holdings

Fund Documents

Overview

Investment Strategy:

KMLM is benchmarked to the KFA MLM Index, which consists of a portfolio of twenty-two liquid futures contracts traded on U.S. and foreign exchanges. The Index includes futures contracts on 11 commodities, 6 currencies, and 5 global bond markets. These three baskets are weighted by their relative historical volatility, and within each basket, the constituent markets are equal dollar weighted.

KMLM Features:

  • Access to managed futures through a liquid and low-cost ETF structure1
  • Managed futures are considered alternative investments and may provide additional diversification and decrease volatility when included within traditional equity/bond portfolios2
  • A potential hedge on equity, bond, and commodity risk
  • Sub-advised by Mount Lucas Management, who in 1988 established the first passive index to measure the returns to risk bearing in futures markets3

KMLM Partner:

Mount Lucas Management, the sub-advisor of KMLM, is a Newtown, PA based asset manager founded in 1986. Since its founding, Mount Lucas has provided innovative alternative investment strategies to institutional and high-net-worth investors that enhance and diversify traditional investments. Mount Lucas’ investment professionals have extensive experience in the development and use of systematic investment strategies that access alternative risk premia as well as a long history of discretionary macro trading and risk taking.

*Formerly the KFA Mount Lucas Index Strategy ETF

1. Buying and selling shares of the KFA Funds may result in brokerage commissions.
2. Diversification does not ensure a profit or guarantee against a loss.
3. Data from Mount Lucas Management.

Premium Discount Chart

Daily Performance

Data as of 07/25/2024
Daily Net Asset Value (NAV) and Market Price
NAV $29.40
NAV Daily Change -0.31%
Market Price $29.49
Market Price Daily Change -0.14%
30 Day Median Bid/Ask Spread
0.17%

Performance History

Cumulative %
Data as of: 06/30/2024
Fund NAV Closing Price Index
1 Month -1.42% -1.49% -1.40%
3 Month -2.58% -2.44% -2.39%
6 Month 1.32% 1.18% 1.53%
YTD 1.32% 1.18% 1.53%
Since Inception 40.77% 40.92% 51.86%
Avg Annualized %
Data as of quarter end: 06/30/2024
Fund NAV Closing Price Index
1 Year -4.33% -4.30% -3.55%
3 Year 6.58% 6.43% 9.12%
Since Inception 10.02% 10.05% 12.38%

The performance data quoted represents past performance. Past performance does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor's shares, when sold or redeemed, may be worth more or less than their original cost and current performance may be lower or higher than the performance quoted.

Distribution History

2024 Distributions and Calendar
Ex-Date Record Date Payable Date Amount
03/26/2024 03/27/2024 03/28/2024 0.000000
06/27/2024 06/27/2024 06/28/2024 0.000000
09/26/2024 09/27/2024 09/30/2024

Future calendar dates are subject to change. There is no guarantee that dividends will be paid. Past distributions are not indicative of future trends. This material is provided for educational purposes only and does not constitute investment advice.

Distributions are issued to brokers on the payable date, and are subject to broker payment schedules.

2023 Distributions
Ex-Date Record Date Payable Date Amount
09/27/2023 09/28/2023 09/29/2023 0.000000
12/18/2023 12/19/2023 12/20/2023 0.000000
2022 Distributions
Ex-Date Record Date Payable Date Amount
12/28/2022 12/29/2022 12/30/2022 4.037692
2021 Distributions
Ex-Date Record Date Payable Date Amount
12/29/2021 12/30/2021 12/31/2021 1.838123

Growth of $10,000

Data as of 07/25/2024

The Growth of $10,000 chart reflects an initial investment of $10,000 on the day prior to the selected time period and assumes reinvestment of dividends and capital gains. For the growth of $10,000 chart since inception, the initial investment of $10,000 is instead made on the inception date of the Fund. Fund expenses, including management fees and other expenses were deducted. The growth of a $10,000 investment in the fund is hypothetical and for illustration purposes only. Fund performance data used in this chart is based on Fund NAV and represents past performance. Past performance does not guarantee future results.

Commodity Exposures

Data as of 07/26/2024
Name Identifier Position % NAV
GOLD 100 OZ FUTR DEC24 GCZ4 Long 6.96%
LIVE CATTLE FUTR DEC24 LCZ4 Long 6.83%
CORN FUTURE DEC24 C Z4 Short 6.64%
SOYBEAN FUTURE NOV24 S X4 Short 6.47%
COPPER FUTURE SEP24 HGU4 Long 6.40%
WHEAT FUTURE(CBT) DEC24 W Z4 Short 6.26%
SUGAR #11 (WORLD) OCT24 SBV4 Short 6.18%
NATURAL GAS FUTR SEP24 NGU24 Short 5.38%
WTI CRUDE FUTURE SEP24 CLU4 Long 5.27%
GASOLINE RBOB FUT SEP24 XBU4 Long 3.48%
NY HARB ULSD FUT SEP24 HOU4 Short 3.42%

Currency Exposures

Data as of 07/26/2024
Name Identifier Position % NAV
JPN YEN CURR FUT SEP24 JYU4 Short 16.90%
BP CURRENCY FUT SEP24 BPU4 Long 16.54%
CHF CURRENCY FUT SEP24 SFU4 Short 16.44%
C$ CURRENCY FUT SEP24 CDU4 Short 16.05%
AUDUSD CRNCY FUT SEP24 ADU4 Long 12.91%
EURO FX CURR FUT SEP24 ECU4 Short 8.60%

Fixed Income Exposures

Data as of 07/26/2024
Name Identifier Position % NAV
JPN 10Y BOND(OSE) SEP24 JBU4 Short 26.63%
LONG GILT FUTURE SEP24 G U4 Long 21.15%
EURO-BUND FUTURE SEP24 RXU4 Short 18.59%
CAN 10YR BOND FUT SEP24 CNU4 Long 18.30%
US 10YR ULTRA FUT SEP24 UXYU4 Short 6.13%

Collateral and Currency Management

Data as of 07/26/2024
Name Identifier Position Current Exposure($) % NAV
Cash 108,192,488 108,192,488 30.41%
B 07/30/24 55,000,000 54,991,964 15.46%
B 08/06/24 55,000,000 54,935,432 15.44%
B 08/20/24 55,000,000 54,822,029 15.41%
B 08/29/24 55,000,000 54,750,407 15.39%
B 09/03/24 55,000,000 54,710,026 15.38%
BRITISH STERLING POUND -3,797,616 -4,889,047 -1.37%
JAPANESE YEN -761,824,094 -4,954,309 -1.39%
CANADIAN DOLLAR -6,909,473 -4,995,823 -1.40%
EURO -5,182,188 -5,626,330 -1.58%
361,936,838 102%

Holdings, futures, and collateral are subject to change.

Top 10 Holdings

Data as of 07/26/2024 Full Holdings .CSV
Rank Name % of Net Assets Ticker Identifier Type Shares Held Market Value($) Notional Value($)
1 Cash 29.89% Cash 108,192,488 108,192,488 0
2 B 07/30/24 15.19% US912797KR75 Treasury Bill 55,000,000 54,991,964 0
3 B 08/06/24 15.18% US912797KW60 Treasury Bill 55,000,000 54,935,432 0
4 B 08/20/24 15.15% US912797KY27 Treasury Bill 55,000,000 54,822,029 0
5 B 08/29/24 15.13% US912797KD89 Treasury Bill 55,000,000 54,750,407 0
6 B 09/03/24 15.12% US912797LA32 Treasury Bill 55,000,000 54,710,026 0
7 GASOLINE RBOB FUT SEP24 0.00% XBU4 Future 122 0 12,384,708
8 WTI CRUDE FUTURE SEP24 0.00% CLU4 Future 243 0 18,749,880
9 GOLD 100 OZ FUTR DEC24 0.00% GCZ4 Future 102 0 24,764,580
10 JPN 10Y BOND(OSE) SEP24 0.00% JBU4 Future -102 0 -94,736,555

Holdings are subject to change.