WinstonWınston

Mohr Company Nav ETF (CNAV) — ETF Analysis on Winston

Key Facts

  • Issuer: Mohr Funds
  • Category: Equity
  • Asset Class: Equity
  • Expense Ratio: 139.00%
  • Assets Under Management: $53M
  • Number of Holdings: 31
  • Inception Date: 2024-10-01
  • Currency: USD

Winston Score

Mohr Company Nav ETF has a Winston Score of 47 out of 100.

Performance

  • 1-Year Return: 32.06%

Sector Breakdown

Cash & Others (N/A%), Consumer Cyclical (N/A%), Energy (N/A%), Financial Services (N/A%), Healthcare (N/A%)