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Cambria Global Tail Risk ETF(FAIL)

Description: The Cambria Tail Risk ETF seeks to mitigate significant downside market risk. The Fund intends to invest in a portfolio of "out of the money" put options purchased on the U.S. stock market. TAIL strategy offers the potential advantage of buying more puts when volatility is low and fewer puts when volatility is high. While a portion of the fund's assets will be invested in the basket of long put option premiums, the majority of fund assets will be invested in intermediate term US Treasuries. As the fund is designed to be a hedge against market declines and rising volatility, Cambria expects the fund to produce negative returns in the most years with rising markets or declining volatility.


Keywords: Exchange Traded Fund Volatility Options Technical Analysis Volatility Arbitrage

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FAIL Technical Analysis

Exchange: BATS

Country: US : United States of America

Currency: US Dollar ($)

Category: Trading--Inverse Equity

Asset Allocation
Asset Class Long % Short % Net Assets
Bond 80.56 0.00 80.56
Cash 26.55 11.45 15.10
Stock non-US 4.34 0.00 4.34
NotClassified 0.00 0.00 0.00
Sector Weights
Sector Equity % Relative to Category
World Regions
Region Equity % Relative to Category
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