Cambria Global Real Estate ETF
Listed September 24, 2020
The Cambria Global Real Estate ETF seeks income and capital appreciation by investing primarily in the securities of domestic and foreign companies principally engaged in the real estate sector and real-estate related industries that exhibit favorable multi-factor metrics, such as value, quality and momentum, according to a quantitative methodology developed by Cambria Investment Management, L.P. The Fund concentrates (holds more than 25% of) its assets in real estate-related industries. Securities of "real estate-related industries" means securities classified in one of these two industries of the real estate sector, as determined by Global Industry Classification Standard (GICS):
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About Cambria Investment Management
Cambria Investment Management, LP, based in Los Angeles, California, is a SEC registered investment management firm employing a disciplined multi-asset, global quantitative research process. Cambria provides investment management services through a number of portfolio strategies to high net worth individuals and institutions through exchange traded funds, separately managed accounts and private funds. Cambria is also the investment manager of the Cambria Emerging Shareholder Yield ETF (BATS: EYLD), the Cambria Global Value ETF (NYSE: GVAL), the Cambria Foreign Shareholder Yield ETF (NYSE: FYLD), the Cambria Global Momentum ETF (NYSE: GMOM), the Cambria Global Asset Allocation ETF (GAA), the Cambria Value and Momentum ETF (NYSE: VAMO), and the Cambria Sovereign High Yield Bond ETF (SOVB). Cambria believes that any single style or approach that relies on subjective methods can be inconsistent over time, may bias the investment process, and potentially hinder performance. Global diversification through asset allocation, coupled with prudent risk management, is the foundation of Cambria's investment philosophy.