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Cohanzick Management

Cohanzick Management Parent Rating

Below Average

In an increasingly competitive industry, Cohanzick Management falls behind on a number of key metrics, resulting in a Below Average Parent Pillar rating.

Longest-tenured managers have five years of average asset-weighted tenure, which is slim compared with peer firms. In isolation, this does n't bode well as the current managers have limited experience running strategies. A detractor from the firm's rating is its lower-than-average portfolio management retention over the past five years, as elevated turnover bears watching. The product lineup at Cohanzick Management has exhibited exemplary durability when looked at over the past three years. Notably, its three-year risk-adjusted success ratio stands at 100%, meaning that 100% of its products have survived and beaten their respective category median on a risk-adjusted basis.

Cohanzick Management Investments

Market

US Open-end ex MM ex FoF ex Feeder

Total Net Assets

890.44 Mil

Investment Flows (TTM)

187.98 Mil

Asset Growth Rate (TTM)

28.61%

# of Share Classes

3
Morningstar Rating # of Share Classes
1
0
0
0
0
Not Rated 2

Market

US ETFs

Total Net Assets

71.31 Mil

Investment Flows (TTM)

4.75 Mil

Asset Growth Rate (TTM)

7.26%

# of Share Classes

1
Morningstar Rating # of Share Classes
0
0
0
0
0
Not Rated 1
Name
Morningstar Rating Overall
5-Year Category Rank
CrossingBridge Pre-Merger SPAC ETF

Quick Definitions: Key Morningstar Terms

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