Innovator Equity Defined Protection ETF - 6mo Apr/Oct (APOC) Precio de Acción, Cotización, Noticias e Historial

APOCBATS
$26.52
0.010.04%
al cierre: Aug 28, 5:00 PM EST
$26.32
-0.20-0.77%
After hour: Jun 22, 9:29 AM EST
Panorámica generalHoldingsInterés en corto
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Sector
Technology
Region
US
AUM
70.23M
Fund Score
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Estadísticas Clave

Apertura
$26.53
Máximo
$26.57
Máximo de 52 semanas
$26.61
AUM
70.23M
Dividendo
-
Fecha Ex-Div
-
Volumen
11.69K
Capitalización bursátil
$18,890.96B
Tarifa de gestión
0.79%
Ratio PER
24.10
Cierre anterior
$26.52
Mínimo
$26.48
Mínimo de 52 semanas
$25.53
Acciones en circulación
2.65M
Rendimiento
-
Frec. de Div.
-
Promedio Volumen diario
8.06K
Beta
0.24
Promedio Relación de gastos
0.79%
Relación P/B
4.88

Noticias Recientes de Innovator Equity Defined Protctn ETF 6 Mo Apr/Oct

No se han encontrado noticias

PREGUNTAS FRECUENTES

Q

¿Cómo puedo comprar la acción de Innovator Equity Defined Protection ETF - 6mo Apr/Oct (APOC)?

A

Puedes comprar acciones de Innovator Equity Defined Protection ETF - 6mo Apr/Oct (BATS:APOC) a través de cualquier corretaje en línea.

Consulta nuestra lista de los mejores corretajes de bolsa

Q

¿Quiénes son los competidores de Innovator Equity Defined Protection ETF - 6mo Apr/Oct (APOC)?

A

No hay competidores como tal para Innovator Equity Defined Protection ETF - 6mo Apr/Oct.

Q

¿Cuál es el pronóstico o precio objetivo para las acciones de Innovator Equity Defined Protection ETF - 6mo Apr/Oct (APOC)?

A

No existe ningún análisis de Innovator Equity Defined Protection ETF - 6mo Apr/Oct que proporcione un precio objetivo de consenso.

Q

¿Cuál es el precio actual de las acciones de Innovator Equity Defined Protection ETF - 6mo Apr/Oct (APOC)?

A

El precio de las acciones de Innovator Equity Defined Protection ETF - 6mo Apr/Oct (BATS: APOC) es de 26.32 dólares, actualizado por última vez el 22 de junio de 2026 a las 9:29 GMT-4.

Q

¿Innovator Equity Defined Protection ETF - 6mo Apr/Oct (APOC) paga dividendos?

A

No hay dividendos previstos para Innovator Equity Defined Protection ETF - 6mo Apr/Oct.

Q

¿Cuándo Innovator Equity Defined Protection ETF - 6mo Apr/Oct (BATS:APOC) publicará los resultados?

A

No hay informes de resultados previstos para Innovator Equity Defined Protection ETF - 6mo Apr/Oct.

Q

¿Innovator Equity Defined Protection ETF - 6mo Apr/Oct (APOC) se va a dividir?

A

No hay ninguna división de acciones prevista para Innovator Equity Defined Protection ETF - 6mo Apr/Oct.

Estadísticas Clave

Apertura
$26.53
Máximo
$26.57
Máximo de 52 semanas
$26.61
AUM
70.23M
Dividendo
-
Fecha Ex-Div
-
Volumen
11.69K
Capitalización bursátil
$18,890.96B
Tarifa de gestión
0.79%
Ratio PER
24.10
Cierre anterior
$26.52
Mínimo
$26.48
Mínimo de 52 semanas
$25.53
Acciones en circulación
2.65M
Rendimiento
-
Frec. de Div.
-
Promedio Volumen diario
8.06K
Beta
0.24
Promedio Relación de gastos
0.79%
Relación P/B
4.88

Acerca de

Sector
NULO
Industria
NULO
ETF Details
SectorTechnology
Category-
Investment StyleLarge Cap Blend
Fund Inceptionoct 1, 2024
Managers
Maria Schiopu
Robert T. Cummings
Jeff Greco
Rebekah Lipp
Definition-
Investment Policy
The Fund invests at least 80% of its net assets (plus any borrowings for investment purposes) in FLexible EXchange Options (FLEX Options) that reference the SPDR S&P 500 ETF Trust (the Underlying ETF). FLEX Options are exchange-traded option contracts with uniquely customizable terms. Although guaranteed for settlement by the Options Clearing Corporation (the OCC), FLEX Options are still subject to counterparty risk with the OCC and may be less liquid than more traditional exchange-traded option contracts. Due to the unique mechanics of the Funds strategy, the return an investor can expect to receive from an investment in the Fund has characteristics that are distinct from many other investment vehicles. It is important that an investor understand these characteristics before making an investment in the Fund. In general, an option contract is an agreement between a buyer and seller that gives the purchaser of the option the right to buy or sell a particular asset at a specified future date at an agreed upon price. The reference asset for all of the Funds FLEX Options is the Underlying ETF, an exchange-traded unit investment trust that seeks to provide investment results that, before expenses, correspond generally to the price and yield performance of the S&P 500 Index. (the U.S. Equity Index). The Underlying ETF invests in equity securities of companies, including companies with large capitalizations. To the extent the U.S. Equity Index concentrates (i.e., holds 25% or more of its total assets) in the securities of a particular industry or group of industries, the Fund will concentrate its investments to approximately the same extent. As of the date of this prospectus, through its use of FLEX Options on the Underlying ETF, the Fund is concentrated in the information technology sector. For more information on the Underlying ETF, please see the section of the prospectus entitled Additional Information About the Funds Principal Investment Strategies. The pre-determined outcomes sought by the Fund, which include the buffer and cap discussed below (the Outcomes), are based upon the performance of the Underlying ETFs share price over an approximately six-month period (the Outcome Period). The current Outcome Period is from October 1, 2024 through April 30, 2025. This period is referred to as the initial Outcome Period. Following the initial Outcome Period, each successive Outcome Period will begin on the day the prior Outcome Period concludes and will end in six months. Upon conclusion of the Outcome Period, the Fund will receive the cash value of all the FLEX Options it held for the prior Outcome Period. It will then invest in a new series of FLEX Options with an expiration date of approximately six months in the future, and a new Outcome Period will begin. Each FLEX Options value is ultimately derived from the performance of the Underlying ETFs share price during that time. As the terms of the FLEX Options do not change during each Outcome Period, the Outcomes, including the buffer and cap discussed below, will be measured to the Funds net asset value (NAV) on the first day of the Outcome Period. The Outcomes may only be realized by investors who continuously hold Shares from the commencement of the Outcome Period until its conclusion. Investors who purchase Shares after the Outcome Period has begun or sell Shares prior to the Outcome Periods conclusion may experience investment returns that are very different from those that the Fund seeks to provide. The Funds strategy has been specifically designed to produce the Outcomes based upon the performance of the Underlying ETFs share price (or its price return) over the duration of the Outcome Period, subject to the Cap and Buffer described herein. The Fund will not receive.
Top ETF Holdings
SymbolNameShare %
VOOVanguard S&P 500 ETF114.5%