ALPS Strategic Income Fund (RIGS) Price

ALPS Strategic Income Fund Price

22.08
-0.09 (-0.41 %)
TER0.45 %
AUM59.30 M USD
Holdings84
CurrencyUSD
Funds Launch10/7/2013

ALPS Strategic Income Fund Price

Details

Stock Price

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ALPS Strategic Income Fund Stock Price History
DateALPS Strategic Income Fund Price
9/24/202622.08 USD
9/23/202622.17 USD
9/21/202622.32 USD
9/18/202622.27 USD
9/17/202622.32 USD
9/16/202622.32 USD
9/15/202622.33 USD
9/14/202622.34 USD
9/11/202622.35 USD
9/10/202622.37 USD
9/9/202622.51 USD
9/8/202622.51 USD
9/4/202622.56 USD
9/3/202622.52 USD
9/2/202622.56 USD
9/1/202622.50 USD
8/31/202622.57 USD
8/28/202622.64 USD
8/27/202622.64 USD
8/26/202622.65 USD
8/25/202622.66 USD
8/24/202622.59 USD
8/21/202622.59 USD
8/20/202622.58 USD
8/19/202622.64 USD
8/18/202622.58 USD
8/17/202622.62 USD
8/14/202622.60 USD
8/13/202622.65 USD
8/12/202622.59 USD
Access this data via the Eulerpool API

Performance

1W-1.08 %
1M-2.52 %
3M-2.90 %
YTD-4.21 %

Underlying

Cash Equivalent
Cash Equivalent

ALPS Strategic Income Fund Profile

The RiverFront Strategic Income Fund is an exchange-traded fund (ETF) that invests in a diversified portfolio of fixed income securities. The fund was launched on October 29, 2013, by RiverFront Investment Group LLC, a global investment management firm headquartered in Richmond, Virginia.

The RiverFront Strategic Income Fund's primary objective is to provide investors with current income while maintaining low volatility and downside protection. The fund seeks to achieve this objective by investing in a mix of high-quality fixed income securities, including U.S. Treasuries, investment-grade corporate bonds, mortgage-backed securities, and asset-backed securities.

The fund's investment approach is based on macroeconomic analysis and fundamental research to evaluate creditworthiness, interest rate trends, and credit spreads. The investment team identifies and selects securities based on their relative value, liquidity, and risk/return characteristics, seeking to achieve a balance between income generation and risk management.

The fund's portfolio is actively managed and reevaluated on a regular basis to reflect changing market conditions and to optimize returns. The portfolio manager also seeks to maintain a proper balance between risk and reward by monitoring credit quality, duration, and other risk factors.

The RiverFront Strategic Income Fund is classified as a multi-sector bond fund, meaning that it invests in securities from various sectors of the fixed income market. This diversification helps to reduce risk and provide stable returns. The fund has an expense ratio of 0.55%, which is relatively low compared to other actively managed fixed income funds.

Since its inception, the RiverFront Strategic Income Fund has performed well, generating consistent returns with low volatility. The fund has outperformed its benchmark, the Bloomberg Barclays U.S. Aggregate Bond Index, over various periods, demonstrating the effectiveness of its investment strategy.

Investors in the RiverFront Strategic Income Fund can purchase or sell shares on a daily basis through a brokerage account, just like any other ETF. The fund may be suitable for investors seeking regular income with low volatility and downside protection.

In summary, the RiverFront Strategic Income Fund is an actively managed ETF focused on generating current income while maintaining low volatility and downside protection. The fund invests in a diverse mix of high-quality fixed income securities based on macroeconomic analysis and fundamental research. The fund has performed well since its inception and is suitable for investors seeking regular income with low risk.

ETF Holdings by Sector

ETF Sector Allocation
SectorDistribution
Cash & Others
99.16 %
Financial sector
0.84 %

ETF Holdings by Country

Distribution of the ETF by countries
CountryDistribution
United States of America
88.5 %
Other
3.39 %
Uruguay
1.26 %
Singapore
1.13 %
Brazil
1.01 %
Mexico
1 %
Ireland
0.98 %
Netherlands
0.98 %
Luxembourg
0.96 %
Canada
0.78 %

ALPS Strategic Income Fund List of Holdings

Top 1027.84 %
U.S. Treasury Bond 4.50 02/15/2044
U.S. Treasury Bond 4.50 02/15/2044
4.82 %
U.S. Treasury Bond 4.375 05/15/2034
U.S. Treasury Bond 4.375 05/15/2034
4.73 %
U.S. Treasury Bond 4.75 11/15/2043
U.S. Treasury Bond 4.75 11/15/2043
4.12 %
U.S. Treasury Bond 4.00 11/15/2052
U.S. Treasury Bond 4.00 11/15/2052
4.10 %
U.S. Treasury Bond 4.75 02/15/2037
U.S. Treasury Bond 4.75 02/15/2037
2.55 %
Murphy Oil Corp. 6.00 10/01/2032
Murphy Oil Corp. 6.00 10/01/2032
1.84 %
U.S. Treasury Note 4.125 02/29/2032
U.S. Treasury Note 4.125 02/29/2032
1.50 %
Textron Inc. 5.50 05/15/2035
Textron Inc. 5.50 05/15/2035
1.43 %
Concentrix Corp. 6.60 08/02/2028
Concentrix Corp. 6.60 08/02/2028
1.38 %
eulerpool
84 Holdings
CompanyShare
U.S. Treasury Bond 4.50 02/15/2044
U.S. Treasury Bond 4.50 02/15/2044
4.82 %
U.S. Treasury Bond 4.375 05/15/2034
U.S. Treasury Bond 4.375 05/15/2034
4.73 %
U.S. Treasury Bond 4.75 11/15/2043
U.S. Treasury Bond 4.75 11/15/2043
4.12 %
U.S. Treasury Bond 4.00 11/15/2052
U.S. Treasury Bond 4.00 11/15/2052
4.10 %
U.S. Treasury Bond 4.75 02/15/2037
U.S. Treasury Bond 4.75 02/15/2037
2.55 %
Murphy Oil Corp. 6.00 10/01/2032
Murphy Oil Corp. 6.00 10/01/2032
1.84 %
U.S. Treasury Note 4.125 02/29/2032
U.S. Treasury Note 4.125 02/29/2032
1.50 %
Textron Inc. 5.50 05/15/2035
Textron Inc. 5.50 05/15/2035
1.43 %
1.39 %
Concentrix Corp. 6.60 08/02/2028
Concentrix Corp. 6.60 08/02/2028
1.38 %
Booz Allen Hamilton Inc. 5.90 01/30/2034
Booz Allen Hamilton Inc. 5.90 01/30/2034
1.32 %
Hilton Domestic Operating Co. Inc. 5.50 03/31/2034
Hilton Domestic Operating Co. Inc. 5.50 03/31/2034
1.27 %
MercadoLibre Inc. 5.85 09/14/2036
MercadoLibre Inc. 5.85 09/14/2036
1.26 %
American Express Co. 5Y US TI + 2.119 12/31/9999
American Express Co. 5Y US TI + 2.119 12/31/9999
1.26 %
BOSTON PROP LP BXP 6.05 10/15/36 6.05 10/15/2036
BOSTON PROP LP BXP 6.05 10/15/36 6.05 10/15/2036
1.25 %
Accenture Capital Inc. 5.60 07/10/2036
Accenture Capital Inc. 5.60 07/10/2036
1.23 %
United Rentals North America Inc. 6.00 12/15/2029
United Rentals North America Inc. 6.00 12/15/2029
1.23 %
L3Harris Technologies Inc. 5.40 07/31/2033
L3Harris Technologies Inc. 5.40 07/31/2033
1.21 %
Imperial Brands Finance PLC 5.50 07/07/2036
Imperial Brands Finance PLC 5.50 07/07/2036
1.20 %
Amazon.com Inc. 4.875 03/13/2036
Amazon.com Inc. 4.875 03/13/2036
1.18 %
Venture Global Plaquemines LNG LLC 6.75 01/15/2036
Venture Global Plaquemines LNG LLC 6.75 01/15/2036
1.16 %
Philip Morris International Inc. 4.875 04/29/2036
Philip Morris International Inc. 4.875 04/29/2036
1.14 %
OneMain Finance Corp. 6.625 05/15/2029
OneMain Finance Corp. 6.625 05/15/2029
1.14 %
Seagate Data Storage Technology Pte Ltd. 5.875 07/15/2030
Seagate Data Storage Technology Pte Ltd. 5.875 07/15/2030
1.13 %
WESCO Distribution Inc. 6.375 03/15/2029
WESCO Distribution Inc. 6.375 03/15/2029
1.13 %
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Frequently asked questions about ALPS Strategic Income Fund

ALPS Strategic Income Fund is offered by ALPS Funds, a leading player in the field of passive investments.

The ISIN of ALPS Strategic Income Fund is US00162Q7833.

The total expense ratio of ALPS Strategic Income Fund is 0.45%, which means that investors pay 45.00 USD per 10,000 USD in investment capital annually.

The ETF is listed in USD.

European investors may incur additional costs for currency exchange and transaction fees.

No, ALPS Strategic Income Fund does not comply with the EU UCITS investor protection directives.

The ETF invests in various sectors, with focuses on Cash & Others, Financial sector.

United States of America has the largest stake in ALPS Strategic Income Fund.

The current average trading volume of ALPS Strategic Income Fund is 9,833.00.

ALPS Strategic Income Fund is domiciled in US.

The fund was launched on 10/7/2013.

The ALPS Strategic Income Fund mainly invests in Wide credit companies.

The NAV of ALPS Strategic Income Fund amounts to 22.38 USD.

Investments can be made through brokers or financial institutions that provide access to trading ETFs.

The ETF is traded on the stock exchange, similar to stocks.

Yes, the ETF can be held in a regular securities account.

The ETF is suitable for both short-term and long-term investment strategies, depending on the investor's goals.

The ETF is valued on a daily stock exchange basis.

Information on dividends should be requested from the provider's website or your broker.

The risks include market fluctuations, currency risks, and the risk associated with smaller companies.

The ETF is obligated to report regularly and transparently on its investments.

The performance can be viewed on Eulerpool or directly on the provider's website.

Further information can be found on the official website of the provider.

ETF profile

ALPS Strategic Income Fund

Symbol
ISIN
CUSIP
Asset classBonds
Investment SegmentWide credit
EulerpoolALPS Funds
Managed Assets59.30 M USD
Average Volume9,833
DomicileUS
Funds Launch10/7/2013
CurrencyUSD
Total Expense Ratio (TER)0.45 %
NAV (Net Asset Value)22.38 USD
P/B—
P/E—

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