Relative Strength Managed Volatility Strategy ETFRelative Strength Managed Volatility Strategy ETFRelative Strength Managed Volatility Strategy ETF

Relative Strength Managed Volatility Strategy ETF

No trades

Key stats


Assets under management (AUM)
Fund flows (1Y)
Dividend yield (indicated)
0.99%
Discount/Premium to NAV
0.02%
Shares outstanding
‪1.37 M‬
Expense ratio
0.95%

About Relative Strength Managed Volatility Strategy ETF


Issuer
Teucrium Trading LLC
Brand
Teucrium
Home page
Inception date
Jan 13, 2025
Structure
Open-Ended Fund
Index tracked
No Underlying Index
Replication method
Physical
Management style
Active
Dividend treatment
Distributes
Distribution tax treatment
Qualified dividends
Income tax type
Capital Gains
Max ST capital gains rate
39.60%
Max LT capital gains rate
20.00%
Primary advisor
Teucrium Investment Advisors LLC
Distributor
Pine Distributors LLC
Identifiers
3
ISIN US53656G3323
RSMV targets US growth companies, aiming to balance growth potential with risk management. The selection process combines top-down macroeconomic analysis to identify momentum-driven sectors and a bottom-up strategy to select high-potential securities within those sectors. Key metrics include value, momentum, size, quality, and volatility, complemented by quantitative and qualitative evaluations of company fundamentals like pricing models and management quality. During periods of heightened market volatility, assets may shift defensively into cash, US Treasuries, and investment-grade bonds without limitation. The portfolio typically holds 20 to 50 stocks, dynamically adjusted based on market conditions. Investments may include ETFs focused on US growth companies and REITs. Holdings are rebalanced bi-monthly.

Classification


Asset Class
Equity
Category
Size and style
Focus
Total market
Niche
Growth
Strategy
Active
Geography
U.S.
Weighting scheme
Proprietary
Selection criteria
Proprietary

Returns


1 month3 monthsYear to date1 year3 years5 years
Price performance
NAV total return

What's in the fund


As of February 10, 2026
Exposure type
StocksBonds, Cash & Other
Health Technology
Electronic Technology
Consumer Non-Durables
Producer Manufacturing
ETF
Stocks88.82%
Health Technology16.30%
Electronic Technology13.22%
Consumer Non-Durables12.97%
Producer Manufacturing10.54%
Finance9.99%
Energy Minerals6.70%
Technology Services6.30%
Retail Trade6.28%
Consumer Services3.27%
Process Industries3.26%
Bonds, Cash & Other11.18%
ETF10.78%
Cash0.41%
Stock breakdown by region
89%10%
North America89.94%
Europe10.06%
Latin America0.00%
Asia0.00%
Africa0.00%
Middle East0.00%
Oceania0.00%
Top 10 holdings

Dividends


Dividend payout history

Assets under management (AUM)



Fund Flows



Frequently Asked Questions


RSMV invests in stocks. The fund's major sectors are Health Technology, with 16.30% stocks, and Electronic Technology, with 13.22% of the basket. The assets are mostly located in the North America region.
RSMV top holdings are iShares Core U.S. Aggregate Bond ETF and Caterpillar Inc., occupying 10.78% and 3.56% of the portfolio correspondingly.
Yes, RSMV pays dividends to its holders with the dividend yield of 0.99%. The last dividend (Dec 26, 2025) amounted to 0.27 USD. The dividends are paid annually.
RSMV shares are issued by Teucrium Trading LLC under the brand Teucrium. The ETF was launched on Jan 13, 2025, and its management style is Active.
RSMV expense ratio is 0.95% meaning you'd have to pay 0.95% of your investment to help manage the fund.
RSMV follows the No Underlying Index. ETFs usually track some benchmark seeking to replicate its performance and guide asset selection and objectives.
RSMV invests in stocks.
RSMV price has risen by 0.06% over the last month, and its yearly performance shows a 4.39% increase. See more dynamics on RSMV price chart.
NAV returns, another gauge of an ETF dynamics, have risen by −0.38% over the last month, have fallen by −0.38% over the last month, showed a 2.45% increase in three-month performance and has increased by 0.65% in a year.
RSMV trades at a premium (0.02%) meaning the ETF is trading at a higher price than the calculated NAV.