ETF Managers
ETF Managers fails to meet industry-standard stewardship qualities, culminating in a Low Parent Pillar rating. None of the firm’s assets are covered by an invested manager. Team members’ investments are regarded as helping to encourage long-term thinking and align portfolio manager and investor interests. A cause for concern at ETF Managers is its relatively inexperienced longest-tenured management. In particular, average asset-weighted tenure at the firm is only five years, a negative contributor to the rating. The ETF Managers roster of open-end and exchange-traded funds has had below-average risk-adjusted performance, as seen in its average overall Morningstar Rating of 1.9 stars.
ETF Managers Investments
Market
US ETFsTotal Net Assets
3.68 BilInvestment Flows (TTM)
−566.50 MilAsset Growth Rate (TTM)
−10.87%# of Share Classes
17Morningstar Rating | # of Share Classes | |
---|---|---|
0 | ||
1 | ||
1 | ||
3 | ||
4 | ||
Not Rated | 8 |
Name
|
Morningstar Rating Overall
| |
---|---|---|
Etho Climate Leadership US ETF | 28 | |
ETFMG Sit Ultra Short ETF | — | |
BlueStar Israel Technology ETF | 78 | |
ETFMG Prime Cyber Security ETF | 80 | |
Wedbush ETFMG Video Game Tech ETF | 86 |
The Morningstar Star Rating for Funds is a purely quantitative measure of a fund's past performance, measured from one to five stars.
Star ratings are calculated at the end of every month.
Investments must have at least 36 continuous months of total returns to receive a rating.
Quick Definitions: Key Morningstar Terms
Morningstar Medalist Rating for Funds
The Morningstar Medalist Rating for funds is a five-tier system used to analyze how fees will impact different securities in the long term.
Morningstar Rating™ for Funds
The Morningstar Rating for Funds, often referred to as the Star Rating, measures a fund’s past performance compared to similar funds on a risk-adjusted basis.
Percentile Rank
Percentile rank is how an investment’s return, risk, or other metric compares with other investments in its Morningstar Category.
Category
A category is a way to group investments based on similar risk, return, and behavior profiles.