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INTERCAMBIO DE REPRESENTANTES
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ZEGA Financial is an SEC-registered investment adviser and investment manager that specializes in derivatives. ZEGA’s investment strategies are designed to help investors successfully navigate volatile and uncertain markets through innovative hedging strategies.
BONO SIN DEPÓSITO CRIPTO LOKO 2024
The ZEGA Buy and Hedge ETF (ZHDG) is an actively-managed exchange-traded fund (“ETF”) that seeks to provide exposure to the U.S. large capitalization equity market, while mitigating overall market downside risk in the event of a major market decline.
INTERCAMBIOS KINGSPEED
INICIO DE SESIÓN EN LA RED POP
APLICACIÓN XPAYNOS VEMOS INTERCAMBIARMUSICA INTELIGENTE
0:40INTERCAMBIOS DINSHIBA Y PEPEINTERCAMBIO SIMEX
0:49INTERCAMBIO DE TOKENS FLOSHININTERCAMBIO DE APIEVALUACIÓN EN LÍNEA DE COINBASE
8:06AGREGUE LA CADENA INTELIGENTE DE BINANCE A LA METAMÁSCARAINTERCAMBIOS DE ALARISINTERCAMBIO DE RODÓ
1:266X INTERCAMBIOS DE TOKENSINTERCAMBIO DE FLOKI PÚRPURAINICIAR SESIÓN
1:46INTERCAMBIO DE TOKENSAQUÍ INICIA SESIÓNINICIAR SESIÓN
6:10INTERCAMBIO WLKNINTERCAMBIO CXNLÁMINA CRIPTOGRÁFICA
1:31APLICACIÓN CARRETE DAOINTERCAMBIOS ARNMINICIAR SESIÓN EN FAIRMOON
5:20RED UNIMEXINTERCAMBIO DE IMPRESIONESINTERCAMBIO DE TAI
19:05FUTBOL VS INTERCAMBIO
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DIVIDEND ANNOUNCEMENT: ZEGA Buy and Hedge ETF (NYSE: ZHDG) on 12/22/2022 declared a dividend of $0.5667 per share APLICACIÓN RUUFPAY
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EL ÚLTIMO INICIO DE SESIÓN CON TOKEN DE MCAFEEINTERCAMBIO ÓBICOINTERCAMBIO DE CLAVES
Read MoreINTERCAMBIOS NFTX DE LA BÓVEDA DE PIXLSAPLICACIÓN RIODEFIINTERCAMBIOS DE EFECTIVO SEGURO
Read MoreSERVIDORES CRIPTOGRÁFICOS DE DISCORDIAINTERCAMBIOS DE TOKENS DE CAJA MÁGICACRUZADOS DEL INICIO DE SESIÓN CRIPTOGRÁFICO
Read MoreInvestors should consider the investment objectives, risks, charges and expenses carefully before investing. For a prospectus or summary prospectus with this and other information about the Fund, click here. For the Fund’s Top 10 Holdings, please click here. Read the prospectus or summary prospectus carefully before investing.
FUND RISKS:
Equity Market Risk. The equity securities underlying the Fund’s option investments may experience sudden, unpredictable drops in value or long periods of decline in value.
Derivatives Risk. The Fund invests in options, which are a form of derivative investment. Derivatives have risks, including the imperfect correlation between the value of such instruments and the underlying assets or index; the loss of principal, including the potential loss of amounts greater than the initial amount invested in the derivative instrument; and illiquidity of the derivative investments. The derivatives used by the Fund may give rise to a form of leverage. Leverage magnifies the potential for gain and the risk of loss.
As with all ETFs, Shares may be bought and sold in the secondary market at market prices. Although it is expected that the market price of Shares will approximate the Fund’s NAV, there may be times when the market price of Shares is more than the NAV intra-day (premium) or less than the NAV intra-day (discount) due to supply and demand of Shares or during periods of market volatility.
The Fund may invest in fixed income securities directly or through ETFs or other investment companies. Fixed income securities are subject to interest rate risk (discussed further herein), call risk, prepayment and extension risk, credit risk (discussed further herein), and liquidity risk. Interest rates may go up resulting in a decrease in the value of the fixed income securities held by the Fund. Credit risk is the risk that an issuer will not make timely payments of principal and interest. Because the Fund is “non-diversified,” it may invest a greater percentage of its assets in the securities of a single issuer or a smaller number of issuers than if it was a diversified fund. As a result, a decline in the value of an investment in a single issuer or a smaller number of issuers could cause the Fund’s overall value to decline to a greater degree than if the Fund held a more diversified portfolio.
References to other securities is not an offer to buy or sell.
New Fund Risk. The Fund is a recently organized management investment company with no operating history.
The fund is distributed by Foreside Fund Services, LLC.
Launch & Structure Partner: Tidal ETF Services