Top Holdings as of *

Date Account StockTicker SecurityName Shares Price Market Price Weightings

Download Full Fund Holdings and Fund Information

Contract prices are displayed according to each market/exchange specification. The market price column reflects the notional value of each position priced in dollars

* subject to change.

Historical Premium/Discount

 
Days at premium
Days at NAV
Days at discount

Quarterly Performance 03/30/2025

  Three Month Year to Date 3 Year Annualized 5 Year Annualized Inception Annualized 1/13/25
RSMV NAV
RSMV Price - - - - -
Benchmark* - - - - -

The Fund is new and therefore does not have a performance history for a full calendar year as of the most recent quarter end.

THE PERFORMANCE DATA QUOTED REPRESENTS PAST PERFORMANCE, DOES NOT GUARANTEE FUTURE RESULTS AND CURRENT PERFORMANCE MAY BE LOWER OR HIGHER THAN THE DATA QUOTED. INVESTMENT RETURN AND PRINCIPAL VALUE WILL FLUCTUATE SO THAT THE INVESTOR’S SHARES, WHEN REDEEMED, MAY BE WORTH MORE OR LESS THAN THE ORIGINAL COST. TO OBTAIN PERFORMANCE AS CURRENT AS THE MOST RECENT MONTH END PLEASE DIAL THE APPROPRIATE NUMBER OR VISIT THE WEBSITE IN THE CONTACT US SECTION. PERFORMANCE IS INCLUSIVE OF DIVIDENDS.

NAV Return represents the closing price of underlying securities.

Market Price Return is calculated using the price which investors buy and sell ETF shares in the market. The market returns in the table are based upon the midpoint of the bid/ask spread at 4:00 pm EST, and do not represent the returns you would have received if you traded shares at other times.

*The Performance Index of the ETF is the S&P 500 TR (TICKER: SP500TR): The S&P 500 Total Return Index (SPXT) is a market-capitalization-weighted index that measures the total return of 500 leading publicly traded companies in the United States, incorporating both price changes and the reinvestment of dividends. It is widely used to reflect the full investment performance of the S&P 500, offering a comprehensive benchmark for U.S. equity market returns.

Index performance returns do not reflect any management fees, transaction costs or expenses. Indexes are unmanaged. You cannot invest directly in an index.

RSMV Documents

Summary Prospectus Download

Prospectus Download

Factsheet Download

Statement of Additional Information Download

Fund Facts

Ticker RSMV
CUSIP 53656G332
Inception 1/13/25
Exchange NYSE Arca
Management Fee 0.95%
Total Annual Expense 0.95%
Distributions Annually
Administrator U.S. Bank Global Fund Services
Distributor PINE Distributors LLC

Daily Facts as of TBD*

*subject to change

NAV TBD
Closing Price TBD
Prem / Discount TBD
30-day Median Bid/Ask Spread1 TBD
Shares Outstanding TBD
Total Net Assets TBD

1 The 30-day median bid/ask spread is the median percentage difference between the highest bid price and lowest ask price relative to the midpoint price over the past 30 trading days.