TBFG — Brinsmere Fund Growth ETF price, holdings and performance

Brinsmere Fund Growth ETF

Brinsmere Fund Growth ETF (AMEX: TBFG) is an exchange-traded fund. QuoTrend tracks its price, holdings, performance, fund flows and news.

Latest market price
33.08
-0.02-0.06%
TBFGBrinsmere Fund Growth ETF·AMEX
33.08-0.06%
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Fund Snapshot
Category-Asset TypeAsset allocationTagsgrowthReturn% 1Y19.37%Total Holdings-Perf Week2.35%
SponsorThe Brinsmere FundsETF TypeTags-Return% 3Y-AUM$380.01MPerf Month1.78%
Fund FamilyBond TypeTags-Return% 5Y-NAV/shPerf Quarter3.34%
Index-Average MaturityTags-Return% 10Y52W High33.08 0.00%Perf Half Y8.35%
Index WeightingCommodity TypeTags-Return% SI52W Low28.30 16.88%Perf YTD10.63%
Active/PassiveQuant TypeTags-Flows% 1M0.66%Volatility0.12% 0.05%Perf Year17.04%
Dividend TTM0.78 (2.36%)ESG TypeTags-Flows% 3M3.88%ATR (14)0.20Perf 3Y-
Dividend Ex-DateJun 25, 2026Dividend TypeSector/ThemeFlows% YTD4.13%RSI (14)61.78Perf 5Y-
Dividend Gr. 3/5Y-Structure TypeRegionFlows% 1YBeta0.79Perf 10Y-
Expense0.42%Growth/ValueSMA202.01%Flows% 3YRel Volume0.30Prev Close33.10
Inverse/LeveragedMarket CapSMA501.69%Flows% 5YAvg Volume4.52KPrice33.08
IPO DateJan 16, 2024Option/ShortYes / YesSMA2006.21%52W Range %100%Volume1,379Change-0.06%
Holdings Breakdown
View Holdings as
Stocks
23.1%Technology
5.4%Communication Services
16.8%Financial Services
5.3%Basic Materials
14.3%Industrials
5.3%Consumer Defensive
9.1%Healthcare
3.1%Real Estate
8.7%Consumer Cyclical
2.9%Utilities
6.1%Energy
Assets Under Management
0100.00M200.00M300.00M400.00M'24AprJunAugOct'25MarMayJulSepNov'26MarMayJul
Assets Under Management
Fund

The fund is an actively managed fund of funds, which seeks to achieve its investment objective by investing in a globally diversified portfolio of equity and bond markets. It systematically adjusts its holdings using two proprietary strategies developed by the fund’s investment adviser, The Milwaukee Company, that are run independently. Those strategies are the Systematic Market Beta Strategy (“SMB”) and the Classic Asset Allocation Revisited Strategy (“CAAR”). SMB and CAAR systematically rebalance the underlying funds in which the fund may invest based on a set of proprietary risk-management techniques.

Ownership

Per-holder 13F data isn't yet ingested for ETFs — coming with the next data layer expansion. Aggregate ownership shown above.