WISD
As of (11/10/2025)

NAV:

$101.40

Market Price:

$101.38

Premium/(Discount):

(0.02%)

NAV 1-Day Change:

0.05%

Objective

Seeks to preserve capital and provide liquidity while generating an optimal level of risk managed income.

Investment Strategy

The Fund invests primarily in various types of fixed income securities of varying maturities and credit quality, including high-credit-quality short maturity bonds, allocating across sovereign, corporate, securitized, and fixed income market.  An actively managed portfolio with a duration target of one year or less under normal market conditions that may employ derivatives to hedge interest rate risk and foreign currency risk. 

Portfolio Manager

Vincent Ahn

Head of Fixed Income, Portfolio Manager

Mr. Ahn is the Head of Fixed Income and Portfolio Manager for Wisdom Fixed Income strategies. Prior to launching Wisdom Fixed Income Management, Mr. Ahn served as a Portfolio Manager for the Money Market and Global Short Duration group at Janus Henderson Investors, specializing in global relative value process and liquidity management for the firm. Mr. Ahn was also part of the Global Unconstrained Bond group under Mr. Bill Gross. Throughout his investment career, Mr. Ahn has worked with both large and small firms, including Capital Group, Affinity Investment Advisors LLC, and Armored Wolf LLC, a Global Macro Hedge Fund. 

Mr. Ahn holds Master’s Degree in Finance from McDonough School of Business at Georgetown University, and Bachelor’s degree in Economics as well as Political Science from the University of California, Irvine.

Fund Details

As of (11/10/2025)
Ticker
WISD
CUSIP
75281Y883
Shares Outstanding
3,651,767
Inception
12/19/2024
Net Assets
$370.28M
NAV
$101.40
Premium/(Discount) to NAV
(0.02%)
Market Price
$101.38
Median 30-Day Bid/Ask Spread info Median 30 Day Spread is a calculation of ETF median bid-ask spread, expressed as a percentage rounded to the nearest hundredth, computed by: identifying the ETF national best bid and national best offer as of the end of each 10 second interval during each trading day of the last 30 calendar days; dividing the difference between each such bid and offer by the midpoint of the national best bid and national best offer; and identifying the median of those values.
0.07%
Management Fee
0.40%
Other Expenses info Other expenses are based on estimated amounts for the current fiscal year and are calculated as the percentage of the Government Fund's net assets.
-
Distribution and/or Service (12b-1) Fees
-
Acquired Fund Fees and Expenses
0.02%
Total Annual Fund Operating Expenses
0.42%
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Portfolio

As of (11/10/2025)
Holding Name
CUSIP
Shares/Par
Weight
PSEG POWER LLC PEG 5.2 05/15/30
69362BBD3
8,000,000
2.42%
EAGLE LUXCO MEX 5 1/2 08/17/30
26951TAA8
8,000,000
2.39%
HF SINCLAIR CORP DINO 5 3/4 01/15/31
403949AR1
6,750,000
2.06%
WELLS FARGO CO WFC Float 01/15/27
949746TG6
6,211,000
1.82%
ROYAL BK CANADA RY 5.153 02/04/31
78017DAC2
5,500,000
1.67%
VOLKSWAGEN GRP VW 5.35 03/27/30
928668CQ3
5,500,000
1.67%
UNUM GROUP UNM 7 1/4 03/15/28
743862AA2
5,007,000
1.56%
ANGLO AMERICAN AALLN 5 5/8 04/01/30
034863AW0
5,000,000
1.54%
SIXTH STREET LEN SIXSLP 6 1/2 03/11/29
829932AB8
5,000,000
1.53%
DTE ENERGY CO DTE 5.2 04/01/30
233331BN6
5,000,000
1.52%
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Holdings and allocations are subject to change. There is no guarantee the ETF continues to invest in the securities referenced.

Performance

As of (10/31/2025)
3M
YTD
Since Inception
NAV
1.63%
5.34%
5.36%
Market Price
-
-
-
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As of (09/30/2025)
3M
YTD
Since Inception
NAV
1.86%
4.92%
4.94%
Market Price
-
-
-
← Swipe to see additional data →

Effective 11/05/2025 the Wisdom Short Duration Income Fund was reorganized into the Wisdom Short Duration Income ETF and first listed on the exchange on 11/05/2025   The returns shown for periods ending on or prior to 11/05/2025 are those of the Predecessor Fund, which was managed to a different benchmark and had different expenses from the ETF.  The performance of the Predecessor Fund has not been restated to reflect the expenses of the ETF.  Market returns as of 11/05/2025 and going forward are based on the closing price on the listed exchange at 4 p.m. ET and do not represent the returns an investor would receive if shares were traded at other times.  Prior to this date, all returns are based on the Predecessor’s Fund 4:00 p.m. ET NAV.

Historical Premium/(Discount)

As of (11/10/2025)
Name
2024
Q1 2025
Q2 2025
Q3 2025
Q4 2025
Days at premium
-
-
-
-
1
Days at NAV
-
-
-
-
2
Days at discount
-
-
-
-
1

The following table and line graph are provided to show the frequency at which the closing price of the Fund was at a premium (above) or discount (below) to the Fund’s daily net asset value (“NAV”). The table and line graph represent past performance and cannot be used to predict future results. Shareholders may pay more than NAV when buying Fund shares and receive less than NAV when those shares are sold because shares are bought and sold at current.