|YTD NAV Return||+2.65|
|YTD Market Return||+3.64|
- Last trade 6/19/2013 3:01 PM ET
|The investment seeks to replicate, net of expenses, the Fisher-Gartman Risk Index. The index consists of a mix of long and short positions in various asset classes whose overall value is expected to rise when the outlook on markets and the broader economy is positive and to decrease when such outlook is negative.|
- * Annualized returns
- Data through 6/19/2013 12:00 AM ET
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