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XOVR ETF

Entrepreneur Private-Public Crossover ETF

As of 08/29/2024, ENTR converted to the XOVR ETF

Why Invest In XOVR?

XOVR is the first crossover ETF that will enable investors (institutional, retail, high net worth) to invest directly and indirectly in both public and private equity securities. Importantly, it extends ERshares’ Entrepreneur Factor ® methodology to the entire portfolio, by utilizing the ER30TR Index.

Fund Details

As of 08.29.2024
Fund Type Equity ETF
ENTR CUSIP 293828802
XOVR CUSIP 293828877
New CUSIP Effective Date 08/29/2024
AUM $85.09 Million
Number of Holdings 30
Inception Date - ENTR 11/7/2017
Effective Date - XOVR 8/29/2024
Gross Expense Ratio 0.75%
Average Market Cap $365,078 Million

Fund Strategy

Note: As of 08/29/2024, the fund’s ticker has been changed from ENTR to XOVR. The fund was an actively managed US Large Cap ETF that typically utilized 70-93 equities. The turnover of this actively managed strategy was 360% for the past year. Since inception, the fund significantly underperformed the ER30TR Index. Notably, the ER30TR Index has provided exceptional performance since its 06/30/2005 inception date (Note – Past Performance is not a guarantee of future results). On 08/29/2024, we decided to replace the preponderance of the portfolio (85%+) with the ER30TR Index and supplement with US Large Cap private equity securities for the balance.

The overall strategy of XOVR remains the same as before (US Large Cap Growth focused on Entrepreneurial companies) but the implementation is different. XOVR utilises the proprietary ER30TR Index comprised of 30 US Large capitalization entrepreneurial stocks. The index has a quarterly rebalance with approximately a 15-20% turnover. We believe the frequency of trades, portfolio weights and composition and private equity holdings will impact the performance.

The ERShares XOVR ETF selects the most entrepreneurial, primarily US Large Cap companies, that meet the threshold embedded in the proprietary Entrepreneur Factor® (EF). It is a crossover ETF that will enable investors (institutional, retail, high net worth) to invest in both public and private equity securities. (e.g. SpaceX, Xai, Open AI, Epic Games). The ETF provides investors with daily liquidity, trades at Net Asset Value (NAV), and no minimum investment. The majority of the XOVR ERShares’ investment will be held in the ER30TR Index with the balance held in private equity. The Index incorporates the Entrepreneur Factor®– a bottom-up investment orientation that we believe stands above other investment factors such as momentum, sector, growth, value, leverage, market cap, and geographic orientation. Moreover, with the aid of Thematic Research, ERShares incorporates a macro-economic, top-down approach that integrates changing investment flows, innovation entry points, sector growth, and other characteristics into a dynamic, global perspective model. ERShares EF strives to deliver strong performance across a variety of investment strategies without disrupting investors’ underlying risk profile metrics.

Fund Data Table

As of 09.13.2024
NAV $15.52 Premium/Discount $0.01
NAV Changes 0.65% Median Bid/Ask Spread 0.2640%
Market Price $15.53 Day's Trading Volume 24,206 shares
Market Price Change 0.52% Implied Liquidity 5,775,000 shares

Sector Allocations

Information Technology 46.41%
Consumer Discretionary 15.92%
Communication Services 14.80%
Health Care 12.34%
Industrials 5.62%
Energy 2.39%
Financials 2.31%
As of 06.30.2024

Sector Allocations are subject to change

ERShares XOVR ETF Performance

As of 06.30.2024
YTD 1 Year 3 Years* 5 Years* 10 Years* Since Inception
NAV 15.26% 27.33% -2.19% 8.38% N/A 9.32%
Market Price 15.24% 27.29% -2.17% 8.41 N/A 9.33%

*Annualized

Performance quoted represents past performance and is no guarantee of future results. Current performance may be lower or higher than the performance data quoted. Investment return and principal value will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than original cost. Performance data current to the most recent month end may be obtained by calling +1 (617) 279 0045 or visiting ershares.com. NAV prices are used to calculate market price performance prior to the date when the Fund first traded on the Nasdaq Exchange. Market performance is determined using the bid/ask midpoint at 4:00pm Eastern time, when the NAV is typically calculated. Market performance does not represent the returns you would receive if you traded shares at other times.

XOVR ETF Holdings

As of 09.13.2024
Company Weight Ticker Market Price Shares Held Market Value CUSIP
NVIDIA CORP 5.9155% NVDA 119.1 44504 5300426.4 67066G104
META PLATFORMS-A 5.9076% META 524.62 10090 5293415.8 30303M102
ORACLE CORP 5.3208% ORCL 162.03 29424 4767570.72 68389X105
ALPHABET INC-A 5.1563% GOOGL 157.46 29342 4620191.32 02079K305
SALESFORCE INC 4.3815% CRM 254.57 15422 3925978.54 79466L302
REGENERON PHARM 4.1318% REGN 1153.35 3210 3702253.5 75886F107
DOORDASH INC-A 4.0654% DASH 131.35 27733 3642729.55 25809K105
APPLOVIN CO-CL A 3.8682% APP 112.58 30787 3466000.46 03831W108
SPOTIFY TECHNOLO 3.8333% SPOT 337.9 10165 3434753.5 L8681T102
ARISTA NETWORKS 3.7954% ANET 359.76 9453 3400811.28 040413106

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Disclosures

Effective May 1, 2023, the Fund’s management fee is set to an annual rate of 0.75% of average daily net assets.

This Information Statement is being supplied to shareholders to fulfill the notice requirement, and a notice regarding the website availability of this Information Statement will be mailed on or about April 10, 2023, to the Fund’s shareholders of record as of March 27, 2023.

Click the below link to view the Preliminary Information Statement. https://www.sec.gov/Archives/edgar/data/1495922/000158064223001601/0001580642-23-001601-index.htm

The fund’s investment objectives, risks, charges and expenses must be considered carefully before investing. The prospectus contains this and other important information about the investment company, and it may be obtained by calling +1 (617) 279 0045 or by visiting our website www.ershares.com. Read it carefully before investing. Distributed by Vigilant Distributors, LLC.

The ERShares Entrepreneurs ETF risks can include and are not limited to: Absence of Prior Active Market Risk, Management Risk, New ETF Provider, Common Stock Risk, Market Risk, Concentration Risk, American Depositary Receipts, Early Closing Risk, Exchange Trade Fund Risk.

 



As of 06.30.2024
Prior Year (2023)Current Year Q1Current Year Q2Current Year Q3Current Year Q4
Premium1023125
Discount702129