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Mohr Company Nav ETF

CNAV · Equity

$40.63
-2.43%
Assets
n/a
Expense ratio
1.31%
Holdings
32
1Y return
+68.0%
Forward P/E
n/a
Top 10 holdings
+47.4%

Return and risk

1Y total return+68.0%
3Y total returnn/a
5Y total returnn/a
3Y CAGRn/a
5Y CAGRn/a
Betan/a
RSI68.28

Fund structure

Asset classEquity
Assetsn/a
Holdings32
Expense ratio1.31%
Dividend yield0.0%
Top 10 holdings+47.4%
Volume6.1K

All ETF indicators

All Time High41.77
All Time High Change-2.8
All Time High Date2026-05-11
All Time Low20.17
All Time Low Change101.29
All Time Low Date2025-04-08
Atr0.92
Cagr1y68.02
Ch1m17.04
Ch1w8.53
Ch1y67.96
Ch3m22.34
Ch6m32.17
Ch YTD31.43
Close41.64
Dividend Yield0
High5241.77
High52ch-2.73
High52 Date2026-05-11
Inception Date2024-10-01
IsinUS19423L4665
Low5224.94
Low52ch62.91
Low52 Date2025-05-12
Ma15032.47
Ma150ch25.06
Ma2037.08
Ma20031.63
Ma200ch28.38
Ma20ch9.51
Ma5034.26
Ma50ch18.51
Price Date2026-05-12
Rsi68.28
Rsi Monthly71.88
Rsi Weekly79.99
Sharpe Ratio2.13
Sortino Ratio3.59
Top10holdings47.36
Tr1m17.04
Tr1y67.96
Tr3m22.35
Tr6m32.17
Tr YTD31.43