ETF Provider

Myriad Capital

Total ETFs
1

All Products

1 ETFs
Name
Asset class
AUM
Durch. Volume
Provider
Expense Ratio
Investment Segment
Index
Launch date
NAV (Net Asset Value)
P/B
P/E
Asset allocation385.65 M503.99 Myriad Capital0.97Goal Outcome10/3/202599.560.000.00

ETF Directory

ETF Directory