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Cambria Core Equity ETF (CCOR)

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Realtime quote and/or trades are not sourced from all markets.

Fund Basics

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  • Fund Family Cambria Funds
  • Assets Under Management 78,360,000
  • Market Capitalization, $K 78,360
  • Shares Outstanding, K 3,000
  • 36-Month Beta -0.07
  • Price/Book 3.58
  • Price/Earnings ttm 17.35
  • Annual Dividend & Yield 0.41 (1.56%)
  • Most Recent Dividend 0.257 on 09/26/18
  • Sectors:

    ETFs - Large Cap

Price Performance

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Period Period Low Period High Performance
1-Month
25.16 +3.90%
on 12/21/18
27.24 -4.04%
on 12/31/18
+0.26 (+1.00%)
since 12/18/18
3-Month
24.90 +4.98%
on 11/30/18
27.24 -4.04%
on 12/31/18
+0.63 (+2.47%)
since 10/18/18
52-Week
24.00 +8.92%
on 07/23/18
27.24 -4.04%
on 12/31/18
+0.44 (+1.71%)
since 01/18/18

Most Recent Stories

More News
Smart Beta ETF (CCOR) Hits New 52-Week High

This smart beta ETF hits a new 52-week high. Are more gains in store for this ETF?

CCOR : 26.14 (+0.13%)
Smart Beta ETF (CCOR) Hits New 52-Week High

This smart beta ETF hits a new 52-week high. Are more gains in store for this ETF?

CCOR : 26.14 (+0.13%)
4 Low-Risk ETFs as the S&P 500 Turns Red for 2018

Low-risk ETFs could be helpful for investors as the S&P 500 wipes out all gains of 2018.

QQQ : 165.25 (+0.99%)
SMLV : 88.61 (+0.47%)
HUSV : 23.11 (+1.05%)
SMMV : 30.47 (+0.23%)
ACWI : 68.23 (+1.05%)
CCOR : 26.14 (+0.13%)
DIA : 247.05 (+1.33%)
SPY : 266.46 (+1.33%)
4 Low-Risk ETFs as the S&P 500 Turns Red for 2018

Low-risk ETFs could be helpful for investors as the S&P 500 wipes out all gains of 2018.

QQQ : 165.25 (+0.99%)
SMLV : 88.61 (+0.47%)
HUSV : 23.11 (+1.05%)
SMMV : 30.47 (+0.23%)
ACWI : 68.23 (+1.05%)
CCOR : 26.14 (+0.13%)
DIA : 247.05 (+1.33%)
SPY : 266.46 (+1.33%)

Barchart Technical Opinion

The Barchart Technical Opinion rating is a 32% Buy with a Weakening short term outlook on maintaining the current direction.

Longer term, the trend strength is Weak. Long term indicators fully support a continuation of the trend.

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Fund Summary

The Cambria Core Equity ETF utilizes a combination of several strategies to produce capital appreciation while reducing risk exposure across market conditions. Under normal market conditions, at least 80% of the value of the Funds net assets will be invested in equity securities. The fund intends to...

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Key Turning Points

2nd Resistance Point 26.26
1st Resistance Point 26.20
Last Price 26.14
1st Support Level 26.07
2nd Support Level 26.00

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52-Week High 27.24
Last Price 26.14
Fibonacci 61.8% 26.00
Fibonacci 50% 25.62
Fibonacci 38.2% 25.24
52-Week Low 24.00

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