Fund Inception: February 28, 2025 CUSIP 25861R808 Ticker DABS Benchmark ICE BofA US Fixed Rate ABS Index 30-Day SEC Yield % (Dec 31, 2025) 4.52 Gross Expense Ratio % 0.39
As of January 14, 2026 Closing NAV $ 50.91 ETF Market Price $ 50.93 Premium/Discount (bps) 3 Yield to Maturity % 5.28 30 Day SEC Yield % (January 13, 2026) 4.55 Assets Under Management $ 95,718,663
Daily Portfolio Characteristics Assets Under Management $ 95,718,663 Number of Holdings 110 Duration (Years) 2.08 30 Day SEC Yield % (January 13, 2026) 4.55 Yield to Maturity % 5.28
Daily Trading ETF Market Price $ 50.93 ETF Net Asset Value $ 50.91 Shares Outstanding 1,880,001 3 Month Avg Trading Volume (Shares) 568,619 3 Month Avg Trading Volume (Notional) 568,619 30 Day Median Bid-Ask Spread % 0.14