PAPI
Morgan Stanley ETF Trust
PAPI
26,29
0,05 Bil. AUM
0,3% Expense Ratio
26,45 NAV
Morgan Stanley ETF Trust Profile
About Morgan Stanley ETF Trust
PAPI primarily invests in an equity portfolio of durable dividend payers selected from the Russell 3000 Index using a proprietary investment process that considers 12-month yield and risk level. The fund attempts to achieve broad diversification by weighting all sectors equally and then assigning equal weights to the top-ranking stocks within each sector. In an attempt to generate incremental income, PAPI systematically writes short-dated (2-week) out-of-the-money call options in tranches, with expirations staggered every 3 to 4 days. The call options, which may include FLEX options, are written on the underlying ETF (SPY) or the S&P 500 Index. The fund earns some premium from writing calls, but this caps the funds upside potential. PAPI may incorporate tax loss harvesting within the long equity portfolio to maximize realization of losses. Investors should note that naked call writing, or selling call options without owning the underlying asset, is a high-risk options strategy.
- Company
- Holdings
- 0
- CUSIP
Morgan Stanley ETF Trust Sectors
Industry | Percentage |
---|---|
Consumer Cyclica | 12,70% |
Healthcare | 11,68% |
Consumer Defensi | 11,67% |
Utilities | 11,46% |
Financial Servic | 11,22% |
Industrials | 10,51% |
Energy | 10,49% |
Technology | 9,28% |
Basic Materials | 8,08% |
Communication Se | 2,91% |
Real Estate | 0,00% |