Stocklytics Platform
PPI
Investment Managers Series Trust II - AXS Astoria Inflation Sensitive ETF
PPI
$15.750.00%$15.75

Performance History

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Key Stats
Open$15.62
Prev. Close$0.00
EPS-
DividendNon-Dividend
Next Earnings Date-
Dividend Yield %-
Market Cap$0.00
PE Ratio-
LOWHIGH
Day Range15.62
15.75
52 Week Range14.15
32.49
Ratios
P/B Ratio-
Revenue-
Operating M. %-
Earnings-
Earnings Growth %-
EBITDA Margin %-
ROE %-
EPS-

About Investment Managers Series Trust II - AXS Astoria Inflation Sensitive ETF (PPI)

Investment Managers Series Trust II - AXS Astoria Inflation Sensitive ETF (PPI) is an exchange-traded fund that seeks to provide investors with exposure to a diverse basket of inflation-sensitive securities. The fund is managed by Axonic Capital LLC, an investment management firm with a focus on alternative investments. PPI aims to track the performance of the Astoria Inflation Sensitive Index, which consists of stocks, bonds, commodities, and real estate investment trusts (REITs) that have historically performed well in inflationary environments. By investing in these inflation-sensitive securities, PPI offers investors a potential hedge against rising inflation and provides a means to potentially benefit from an inflationary environment. PPI has a market capitalization of $X and a PEG ratio of X, indicating the fund's valuation relative to its future earnings growth. The fund's 52-week range is $X to $X, and its day range is $X to $X. PPI has a trading volume of $X, indicating the level of investor interest in the fund.
Investment Managers Series Trust II - AXS Astoria Inflation Sensitive ETF (PPI) is a unique investment option for those seeking exposure to inflation-sensitive assets. It offers a diversified portfolio of stocks, bonds, commodities, and REITs that have historically performed well during periods of inflation. This strategy aims to protect investors' purchasing power and potentially generate returns that outpace inflation. PPI's smart analysis incorporates various factors, including market trends, economic indicators, and inflation expectations, to determine the optimal allocation of assets within the fund. This dynamic approach allows PPI to adapt to changing market conditions and optimize risk-adjusted returns. As of the latest news, PPI has been garnering attention from investors and financial media for its potential to provide a hedge against rising inflation. With its unique investment strategy and strong management team, PPI is well-positioned to capitalize on the current economic environment and deliver value to investors.
Sector
Industry
CEO
Headquarters
Employees
0
Exchange
NYSE

Analyst Forecast

Period: Next 12 Months

Analyst Ratings

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