The LHA Risk-Managed Income ETF (RMIF) top stock holdings include SPDR Bloomberg Short Term High Yield Bond ETF, First American Government Obligations Fund, and First American Treasury Obligations Fund. The top 7 RMIF holdings ordered by weight make up 99.99% of the total fund. RMIF is a fixed income fund in the broad debt category that invests in publicly traded companies and other investments, focused on strategy strategies within the Global region. This page includes a complete RMIF stock holdings list ranked by weight, along with a full breakdown of sector, geographic, industry, and currency exposure.
Top 7 RMIF Holdings
RMIF Geographic Exposure
RMIF's largest geographic exposure is United States at 200.8%.
RMIF Currency Exposure
RMIF is exclusively exposed to USD.
RMIF Sector Exposure
RMIF's largest sector exposure is ETF at 133.5%.
RMIF Industry Exposure
RMIF's largest industry exposure is ETF at 133.5%.
RMIF Sub-Industry Exposure
RMIF's largest sub-industry exposure is ETF at 133.5%.
RMIF Coupon Exposure
RMIF's largest coupon exposure is 2-4 at 33.6%.
RMIF Maturity Exposure
RMIF's largest maturity exposure is 10-15 at 16.8%, followed by 5-10 at 16.8%.