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LFAO

LifeX 2055 Longevity Income ETF

Overview

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Distribution Rate at NAV

Distribution Rate at NAV is calculated as the intended annualized distribution per share divided by the net asset value as of the date shown. A portion of each fund's monthly distribution is expected and intended to include return of capital.

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Net Asset Value (NAV)

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Expense Ratio

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Annualized Distribution

Current annualized distribution per share, distributed in 12 monthly payments.

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Closing Price

The official closing price as reported by the exchange

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CUSIP

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% Return of Capital

Proportion of each ETF’s intended distributions expected to consist of return of capital (i.e., principal) in the current calendar year, estimated as of the latest prospectus. See prospectus and 19a-1 notices for more information. Definitive tax information will be provided on a Form 1099-DIV.

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Premium / Discount

The amount the fund’s closing price is trading above or below the reported NAV, expressed as a percentage of the NAV. When the fund’s closing price is greater than the fund’s NAV, i t is said to be trading at a “premium,” and the percentage is expressed as a positive number. When the fund’s closing price is less than the fund’s NAV, it is said to be trading at a “discount,” and the percentage is expressed as a negative number.

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Fixed Income

Category

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30-Day SEC Yield

Net investment income earned by the ETF over the most recent 30-day period, expressed as an annualized percentage rate based on the ETF's maximum offering price on the final day of the rolling 30-day period. The 30-day yield should be regarded as an estimate of investment income and is lower than the fund's distribution rate, which includes return of capital.

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30-Day Median Bid / Ask Spread

The 30-Day Median Bid / Ask Spread is calculated by identifying the national best bid and national best offer ("NBBO") for each fund as of the end of each 10 second interval during each trading day of the last 30 calendar days and dividing the difference.

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Objective

LifeX 2055 Longevity Income ETF seeks to provide reliable monthly distributions consisting of income and principal through 2055.

Portfolio Holdings

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Number of Bonds
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Average Duration
Duration measures the sensitivity of the price per share to changes in interest rates. This is calculated as the Macaulay duration, which is the weighted average term to maturity of the cash flow from the fund.
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NameDescriptionMarket ValueWeight (%)Par ValueCUSIP
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Download All Holdings: 

Holdings are subject to change and are not buy/sell recommendations.

Premium / Discount

Shareholders may pay more than NAV when buying fund shares and receive less than NAV when selling fund shares because shares are bought and sold at current market prices. The performance quoted represents past performance and does not guarantee future results.
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20231Q242Q243Q244Q24
Number of days fund has traded at premium ----------
Number of days fund has traded at discount ----------

Historical Performance

as of --/--/--    |    Inception Date XX/XX/XX

NAV

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1-yr (%)

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5-yr (%)

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10-yr (%)

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Since Inception

Market Price

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1-yr (%)

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5-yr (%)

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10-yr (%)

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Since Inception

Market-based performance reflects performance based on closing market price as reported by the exchange. LFAO converted from Mutual Funds to ETFs with a first trading date of 9/16/2024 . As a result, market-based performance reflects NAV-based performance prior to that date.

 

The performance quoted represents past performance and does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor's shares, when sold or redeemed, may be worth more or less than the original cost. Current performance may be lower or higher than the performance quoted. Performance for periods of less than one year are not annualized. Performance is shown net of fees. Performance data current to the most recent month end may be obtained by calling 855-609-3680.

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