26.28 -0.09 -0.32%
10/18/2024 10:15 PM NYA
Plus500. 82% of retail CFD accounts lose money


NAV

26.261
Nav
10/17/2024
Last Update

Ratings

n/a
Morningstar Rating
n/a
Sustainability Rating

Key Data

Touchstone
Issuer
N/A
Benchmark
108.05 M
Net Asset
USD
Currency
0.39 %
TER
07/17/2023
Inception
Yes
Distributing
Short-Term Bond
Type
United States
Applied In
The Bank of New York Mellon
Custodian
US89157W7074
ISIN
TSEC
Symbol

Asset Allocation Top Instruments

Asset Allocation Top Countries

Asset Allocation Top Holdings

Performance

Name %
High 1 Year 12.76
Volatility 1 Year 8.56
Sharpe Ratio 1 Year 1.38
Maximum Loss 1 Year -1.85
Name %
Average Gain 1 Year 2.66
Average Loss 1 Year -1.07
High 1 Year 12.76
Low 1 Year 11.21
Maximum Loss 1 Year -1.85
Sharpe Ratio 1 Year 1.38
Sortino Ratio 1 Year 3.75
Trailing Return 1 Month 1.90
Trailing Return 1 Year 18.24
Trailing Return 2 Months 5.35
Trailing Return 3 Months 7.91
Trailing Return 6 Months 8.46
Trailing Return 9 Months 8.03
Trailing Return Since Inception 12.35
Trailing Return YTD - Year to Date 8.03
Volatility 1 Year 8.56

Historical Prices for Touchstone Securitized Income ETF

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Sustainability Rating

No Rating available
Rating vs. Category
Fixed Income
Category

Investment Policy

The investment seeks total return through income and capital appreciation. The fund will invest, under normal market conditions, at least 80% of its assets in securitized fixed-income securities. The fund’s 80% policy is a non-fundamental investment policy that can be changed by the fund's Board upon 60 days’ prior notice to shareholders.

Terms

Initial minimum savings amount
Distribution Distributing

Investment Trust

Name Touchstone
Address Touchstone
Zip Code 45201-5354
Website http://www.touchstoneinvestments.com