Symbol Profile Widget
RATE Profile
Sector: Miscellaneous
Industry: Investment Trusts/Mutual Funds
Div Yield: 5.29%
RATE aims to provide a tactical hedge against sharply rising long-term interest rates while positioning the portfolio to benefit during periods of increased interest rate volatility. While the fund has the ability to use put options on US Treasury ETFs and/or Treasury futures, the portfolio typically consists of 85% cash equivalent collateral and 15% payer swaption contracts. The swaption exposure may fluctuate up to 25%. Swaption contracts are based on the 10-year rate swap and typically have less than a year to expiration. Contracts are typically out-of-the-money when purchased, subjecting the fund to some interest rate risk. The 10-year rate swap is benchmarked to the 10-Year Secured Overnight Financing Rate (SOFR). As such, strategy looks to produce a short-term inverse correlation to long-term treasury bonds and a high correlation to longer-dated interest rate movements. Global X actively manages the portfolio. Prior to November 14, 2022, the fund traded under the ticker IRHG.

Historical performance and chart data for Bankrate Inc.




Chart Data is delayed by at least 1 hour on this exchange
Trade Forex, Commodities, Stocks and more, trade CFDs on the Plus 500 CFD trading platform! *CFD Service. 80.6% lose money - Register a real money account here and get trading right away.

Disclaimer: Please note all prices are for information only, they should not be relied upon for accuracy or trading. All prices quotes are based on CFD prices and are similar though not always identical to real exchange prices. STOCKTRKR or anybody connected with STOCKTRKR will not accept any liability for loss or damage arising from use of any information/commentary/charts or articles which is provided 'as is' for educational purposes only, nothing contained on this website should be considered as investment advice - please seek proper investment advice from registered financial broker or institution if you wish to trade on global markets and ensure you are familiar with the risks.