FORH

Actively managed, liquid alternatives portfolio diversified among multiple distinct strategies, including tail hedging, inside of a single ETF.

Why FORH?

Active

Driven by our research process, not a passive index.

Alternative

Multi-strategy approach may complement fixed income or equities.

Adaptable

Hedging strategies seek to help mitigate against significant market declines.

FORH – Fund Details

Inception Date Management Style CUSIP: Total Gross Expense Ratio
4/28/2021 Active 26923N306 1.19
Asset Class Exchange Advisor
Multi Asset NYSE Arca, Inc. Formidable Asset Management
As of Date NAV($) Market Price($) Premium/Discount
1/21/2025 21.9882 21.9 -0.4011
30 Day Median Bid/Ask Shares Outstanding Total Net Assets
0.009711 1,000,000 21,900,000.00

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Fund Performance

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NAV % Market %
ROLLING
1 Month 3.82 3.72
3 Month -7.16 -7.35
YTD 4.14 3.88
SINCE
INCEPTION
Daily (as of 1/21/2025) -12.05 -12.4
Monthly (as of 12/31/2024) -15.55 -15.67
Quarterly (as of 12/31/2024) -15.55 -15.67
HISTORIC
Last Month (as of 12/20/2024) -7.5 -7.32
Last Quarter (as of 12/31/2024) -9.14 -9.3
Last Year (as of 12/31/2024) -7.55 -7.53

* Inception dates used for calculations since ETF launched in 2021.

The performance data quoted represents past performance and is no guarantee of future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. The gross expense ratio is [etfinfo etf=”FORH” aum=”NO” expratio=”YES”].

The performance data quoted represents past performance and is no guarantee of future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. See the details section for gross expense ratio.

Shares are bought and sold at market price not net asset value (NAV). Market price returns are based upon the closing composite market price and do not represent the returns you would receive if you traded shares at other times.

Premium Discount

Premium – The number of trading days the ETF’s closing price exceeds its NAV.
Discount – The number of trading days the ETF’s closing price is below its NAV.

Number
of Days At
2023 Q1 2023 Q2 2023 Q3 2023 Q4 2024 Q1 2024 Q2 2024 Q3 2024 Q4
Premium 31 35 16 53 22 8 18 19
Discount 31 27 45 10 38 55 45 42

Fund Holdings

Fund holdings are subject to change without notice. Holdings are as of market close on 1/21/2025.

ETF TickerDescriptionTickerWeightMarket ValueFIGIShares Held
FORHACACIA RESEARCH CORPACTG8.44%1,856,554.92BBG000KF9J02418,143.00
FORHAGNICO EAGLE MINES LTDAEM2.16%474,630.20BBG000DLVDK35,357.00
FORHALGONQUIN POWER & UTILITIESAQN1.61%354,381.60BBG000G28WZ079,280.00
FORHAlliance Resource Partners L.P.ARLP3.84%844,342.57BBG000C14X8829,699.00
FORHAPTIV HOLDINGS LTD COMMON STOCK USD 0.01APTV.UN1.97%432,900.74BBG01R914LT57,006.00
FORHBAYTEX ENERGY CORP COMMON STOCK CAD 0BTE3.11%683,287.15BBG000BW3M86259,805.00
FORHBIOATLA INCBCAB0.22%49,062.77BBG00Y6GBT6197,154.00
FORHBROOKFIELD INFRASTRUCTURE PARTNERS LP LTD PART USDBIP2.11%464,527.32BBG000B9Y8D814,324.00
FORHCAMECO CORP COMMON STOCKCCJ1.81%398,379.28BBG000DSZTN67,438.00
FORHCASH AND CASH EQUIVALENTS3.07%675,964.02675,964.02
FORHCORCEPT THERAPEUTICS INCCORT2.34%515,646.18BBG000BKJG338,438.00
FORHCORP AMERICA AIRPORTS SACAAP2.02%443,367.99BBG00JFCJ88922,291.00
FORHCORT US 02/21/25 C65-0.01%-2,834.47-15.00
FORHCYTOMX THERAPEUTICS INCCTMX1.52%333,259.26BBG001J472L3382,529.00
FORHEPR PROPERTIESEPR2.07%455,198.80BBG000BSZYR39,563.00
FORHFlux Power Holdings Inc.FLUX4.05%891,544.60BBG000CKGHF0481,916.00
FORHGDX US 02/21/25 P320.00%800.00100.00
FORHGDX US 02/21/25 P340.01%2,202.94100.00
FORHGENERAC HOLDINGS INCGNRC2.04%447,719.74BBG000PQ4W722,729.00
FORHGNRC US 02/21/25 C1950.00%-502.80-6.00
FORHGrupo Aeroportuario del Sureste SA de CV Sponsored ADR Class BASR1.97%434,047.11BBG000B9XWX41,601.00
FORHHESS CORPHES2.08%457,872.80BBG000BBD0703,080.00
FORHHOLOGIC INCHOLX1.88%412,579.31BBG000C3NTN55,863.00
FORHHYG US 02/17/23 P750.01%3,000.001,000.00
FORHHYG US 02/21/25 P770.02%5,014.70500.00
FORHIWM US 02/21/25 P1880.00%-375.00-25.00
FORHIWM US 02/21/25 P1920.00%-450.00-25.00
FORHIWM US 02/21/25 P195-0.01%-1,575.00-75.00
FORHIWM US 02/21/25 P1980.00%600.0025.00
FORHIWM US 02/21/25 P2020.00%775.0025.00
FORHIWM US 02/21/25 P2050.01%2,700.0075.00
FORHJUNIPER NETWORKS INCJNPR1.62%355,345.41BBG000BY33P59,213.00
FORHKINROSS GOLD CORPKGC2.19%482,502.72BBG000BB2DM745,348.00
FORHLAC US 01/31/25 C4-0.01%-1,600.00-400.00
FORHLITHIUM AMERICAS CORPLAAC1.83%401,541.14BBG01JLDJ6X5140,399.00
FORHLITHIUM AMERICAS CORP-W/ILAC1.85%407,254.40BBG01JLDH7S1127,267.00
FORHNEXTERA ENERGY PARTNERS LPNEP1.76%386,171.25BBG006JNW32123,055.00
FORHNICE LTD - SPON ADRNICE2.24%492,753.04BBG000KC17R42,977.00
FORHNICE US 02/21/25 C185-0.01%-1,120.81-5.00
FORHNOMAD FOODS LTDNOMD3.09%680,451.45BBG0071GM7Y040,335.00
FORHPATRIA INVESTMENTS LTD A COMMON STOCK USD.0001PAX1.96%431,101.20BBG00YQ7XJT236,534.00
FORHPEARSON PLC-SPONSORED ADRPSO1.88%413,003.24BBG000BBKSR926,156.00
FORHPLAINS GP HOLDINGS LP-CL APAGP2.31%508,603.45BBG000TBYFR323,171.00
FORHQUALYS INCQLYS1.92%423,272.46BBG000HT5G063,029.00
FORHROYALTY PHARMA PLC CL A COMMON STOCKRPRX4.00%879,093.90BBG00V1L5YZ529,013.00
FORHSCIENCE APPLICATIONS INTESAIC2.06%453,398.88BBG003BW05K63,784.00
FORHSITIO ROYALTIES CORP-ASTR2.51%551,484.08BBG01C36Y85525,228.00
FORHTREASURY BILLTBILL5.50%1,209,926.49BBG01Q548T501,221,000.00
FORHUNITED STATES TREASURY BILL- WHEN ISSUED WIB 04/03/25B 0 04/03/253.84%844,949.74BBG01Q1TYJF1852,000.00
FORHURANIUM ENERGY CORPUEC1.83%403,291.84BBG000LCK3Q254,352.00
FORHVIKING THERAPEUTICS INCVKTX0.71%155,475.10BBG006LGV8694,730.00
FORHWHEATON PRECIOUS METALS CORP COMMON STOCKWPM3.05%671,541.24BBG000PVRDL211,294.00
FORHXLE US 02/21/25 P840.01%1,400.00100.00
FORHXLE US 02/21/25 P850.02%3,405.88200.00