BFIX
Build Bond Innovation ETF
NAV: $23.26 |
Market Price: $23.28 |
NAV Change: $0.07 / 0.31% |
Market Price Change: $0.05 / 0.22% |
Fund Objective
The Build Bond Innovation ETF is an actively-managed bond fund that seeks risk mitigation and growth via a mix of fixed income and equity options. The ETF typically has 90% to 95% of its holdings in investment grade bonds, with the remaining assets seeking upside by using a long only options overlay. The fund is designed to be used as a core bond complement. It seeks to outperform the Bloomberg US Aggregate Bond Index over a full market cycle without taking on excess risk.
Why use BFIX?
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- BFIX may appeal to investors with conservative or risk mitigation objectives
- Seeks to mitigate credit and interest rate risk with investment grade bond core with duration typically shorter than benchmark
- Equity options overlay seeks enhanced total return profile vs. benchmark
- Monthly dividend distribution provides income
How to use BFIX
Core Bond Allocation
- Use to complement or replace a core fixed income or investment grade credit exposure
- BFIX seeks to provide higher total returns for a similar risk profile to the benchmark, without reaching for yield or taking long duration risk
Risk Mitigation
- Use to seek lower downside risk, while retaining attractive upside and downside capture profile
- May increase credit quality and reduce volatility for a high yield bond allocation
Portfolio Diversification
- With its unique structure, BFIX may have lower correlations to traditional equity and fixed income exposures, offering diversification benefits to a multi-asset class portfolio
Fund Overviewas of 2024-03-28
Ticker Symbol: | BFIX |
Gross Expense Ratio: | 0.50% |
NAV: | $23.26 |
NAV Change: | $0.07 / 0.31% |
Market Price: | $23.28 |
Market Price Change: | $0.05 / 0.22% |
CUSIP: | 12009B101 |
Total Assets: | $8,720,922.81 |
Shares Outstanding: | 375000 |
Inception Date: | 2022-02-09 |
Premium Discount: | 0.10% |
30 Day Median Bid Ask Spread: | 0.39% |
Monthly Fund Performanceas of 2024-02-29Cumulative
1mo | 3mo | 6mo | 1yr | Since Inception | |
---|---|---|---|---|---|
NAV | 1.07% | 2.86% | 3.29% | 5.87% | -1.62% |
Market Price | 1.38% | 3.02% | 3.33% | 5.89% | -1.54% |
Bloomberg US Agg Total Return | -1.41% | 2.08% | 2.35% | 3.33% | -6.74% |
Annualized
1yr | 3yr | 5yr | Since Inception | |
---|---|---|---|---|
NAV | 5.87% | - | - | -0.79% |
Market Price | 5.89% | - | - | -0.76% |
Quarterly Fund Performanceas of 2023-12-31Cumulative
1mo | 3mo | 6mo | 1yr | Since Inception | |
---|---|---|---|---|---|
NAV | 2.01% | 3.82% | 2.84% | 5.21% | -2.44% |
Market Price | 1.96% | 3.66% | 2.62% | 4.96% | -2.55% |
Bloomberg US Agg Total Return | 3.83% | 6.82% | 3.37% | 5.53% | -5.14% |
Annualized
1yr | 3yr | 5yr | Since Inception | |
---|---|---|---|---|
NAV | 5.21% | - | - | -1.30% |
Market Price | 4.96% | - | - | -1.36% |
NAV, or Net Asset Value: The dollar value of a single share, based on the value of the underlying assets of the fund minus its liabilities, divided by the number of shares outstanding. Calculated at the end of each business day. Market Price: The current price at which shares are bought and sold. Market returns are based upon the last trade price.
Distribution Information
Distribution Information |
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Distribution Frequency: Monthly |
30 Day SEC Yield: 4.42 |
Ex-Div Date | Record Date | Payable Date | Amount ($) | Amount (%) |
---|---|---|---|---|
2024-03-26 | 2024-03-27 | 2024-03-28 | $0.08427077 | 0.3642% |
2024-02-27 | 2024-02-28 | 2024-02-29 | $0.12356003 | 0.5398% |
2024-01-29 | 2024-01-30 | 2024-01-31 | $0.06270486 | 0.2732% |
2023-12-27 | 2023-12-28 | 2023-12-29 | $0.08852267 | 0.3844% |
2023-12-27 | 2023-12-28 | 2023-12-29 | $0.22915000 | 0.8264% |
2023-11-28 | 2023-11-29 | 2023-11-30 | $0.08038470 | 0.3554% |
2023-10-27 | 2023-10-30 | 2023-10-31 | $0.09422583 | 0.4203% |
2023-09-27 | 2023-09-28 | 2023-09-29 | $0.05601680 | 0.2500% |
2023-08-29 | 2023-08-30 | 2023-08-31 | $0.09178836 | 0.4036% |
2023-07-27 | 2023-07-28 | 2023-07-31 | $0.07472215 | 0.3269% |
2023-06-28 | 2023-06-29 | 2023-06-30 | $0.07671441 | 0.3363% |
2023-05-26 | 2023-05-30 | 2023-05-31 | $0.08514574 | 0.3753% |
2023-04-26 | 2023-04-27 | 2023-04-28 | $0.07255994 | 0.3171% |
2023-03-29 | 2023-03-30 | 2023-03-31 | $0.08253465 | 0.3612% |
2023-02-24 | 2023-02-27 | 2023-02-28 | $0.04561366 | 0.2011% |
2023-01-27 | 2023-01-30 | 2023-01-31 | $0.13873677 | 0.6061% |
2022-12-23 | 2022-12-27 | 2022-12-30 | $0.06990837 | 0.3061% |
2022-11-28 | 2022-11-29 | 2022-11-30 | $0.07763280 | 0.3393% |
2022-10-27 | 2022-10-28 | 2022-10-31 | $0.05488882 | 0.2405% |
2022-09-28 | 2022-09-29 | 2022-09-30 | $0.05430832 | 0.2374% |
2022-08-29 | 2022-08-30 | 2022-08-31 | $0.04210309 | 0.1812% |
2022-07-27 | 2022-07-28 | 2022-07-29 | $0.01304344 | 0.0557% |
2022-06-28 | 2022-06-29 | 2022-06-30 | $0.01517740 | 0.0650% |
2022-05-26 | 2022-05-27 | 2022-05-31 | $0.01359344 | 0.0569% |
2022-04-27 | 2022-04-28 | 2022-04-29 | $0.01071158 | 0.0448% |
2022-03-29 | 2022-03-30 | 2022-03-31 | $0.00978697 | 0.0400% |
Portfolio Holdings
Ticker | CUSIP | Name | Market Value | Weight |
---|---|---|---|---|
91282CDJ7 | 91282CDJ7 | United States Treasury Note/Bond 1.375% 11/15/2031 | $511,071.78 | 5.86% |
91282CHV6 | 91282CHV6 | United States Treasury Note/Bond 5% 08/31/2025 | $501,132.81 | 5.75% |
91282CJE2 | 91282CJE2 | United States Treasury Note/Bond 5% 10/31/2025 | $501,562.50 | 5.75% |
91282CKB6 | 91282CKB6 | United States Treasury Note/Bond 4.625% 02/28/2026 | $499,746.10 | 5.73% |
91282CHN4 | 91282CHN4 | United States Treasury Note/Bond 4.75% 07/31/2025 | $499,257.81 | 5.72% |
91282CJV4 | 91282CJV4 | United States Treasury Note/Bond 4.25% 01/31/2026 | $496,210.94 | 5.69% |
91282CJL6 | 91282CJL6 | United States Treasury Note/Bond 4.875% 11/30/2025 | $475,853.52 | 5.46% |
91282CJB8 | 91282CJB8 | United States Treasury Note/Bond 5% 09/30/2025 | $441,203.13 | 5.06% |
91282CGU9 | 91282CGU9 | United States Treasury Note/Bond 3.875% 03/31/2025 | $420,255.60 | 4.82% |
912828ZT0 | 912828ZT0 | United States Treasury Note/Bond 0.25% 05/31/2025 | $402,621.09 | 4.62% |
91282CFX4 | 91282CFX4 | United States Treasury Note/Bond 4.5% 11/30/2024 | $398,090.98 | 4.56% |
91282CDB4 | 91282CDB4 | United States Treasury Note/Bond 0.625% 10/15/2024 | $390,314.92 | 4.48% |
91282CDH1 | 91282CDH1 | United States Treasury Note/Bond 0.75% 11/15/2024 | $389,156.30 | 4.46% |
91282CDZ1 | 91282CDZ1 | United States Treasury Note/Bond 1.5% 02/15/2025 | $387,668.81 | 4.44% |
9128283J7 | 9128283J7 | United States Treasury Note/Bond 2.125% 11/30/2024 | $318,440.47 | 3.65% |
912810SN9 | 912810SN9 | United States Treasury Note/Bond 1.25% 05/15/2050 | $174,409.38 | 2.00% |
GLD 240621C00190000 | GLD 240621C00190000 | GLD US 06/21/24 C190 | $121,672.00 | 1.40% |
86765BAN9 | 86765BAN9 | Energy Transfer LP 4.25% 04/01/2024 | $110,000.00 | 1.26% |
053332AX0 | 053332AX0 | AutoZone Inc 3.125% 04/18/2024 | $99,863.10 | 1.15% |
032095AG6 | 032095AG6 | Amphenol Corp 3.2% 04/01/2024 | $96,000.00 | 1.10% |
45866FAT1 | 45866FAT1 | Intercontinental Exchange Inc 3.65% 05/23/2025 | $88,341.12 | 1.01% |
037833CU2 | 037833CU2 | Apple Inc 2.85% 05/11/2024 | $79,746.02 | 0.91% |
57636QAB0 | 57636QAB0 | Mastercard Inc 3.375% 04/01/2024 | $74,000.00 | 0.85% |
SPY 240621C00497000 | SPY 240621C00497000 | SPY US 06/21/24 C497 | $69,407.00 | 0.80% |
29379VBE2 | 29379VBE2 | Enterprise Products Operating LLC 3.75% 02/15/2025 | $64,139.82 | 0.74% |
59156RBH0 | 59156RBH0 | MetLife Inc 3.6% 04/10/2024 | $63,971.89 | 0.73% |
SPY 241220C00535000 | SPY 241220C00535000 | SPY US 12/20/24 C535 | $61,719.00 | 0.71% |
375558AW3 | 375558AW3 | Gilead Sciences Inc 3.7% 04/01/2024 | $62,000.00 | 0.71% |
502431AK5 | 502431AK5 | L3Harris Technologies Inc 3.95% 05/28/2024 | $57,824.18 | 0.66% |
91282CJK8 | 91282CJK8 | United States Treasury Note/Bond 4.625% 11/15/2026 | $50,185.55 | 0.58% |
59523UAL1 | 59523UAL1 | Mid-America Apartments LP 3.75% 06/15/2024 | $49,774.71 | 0.57% |
00724FAC5 | 00724FAC5 | Adobe Inc 3.25% 02/01/2025 | $49,184.60 | 0.56% |
494368BQ5 | 494368BQ5 | Kimberly-Clark Corp 2.65% 03/01/2025 | $48,838.88 | 0.56% |
718546AV6 | 718546AV6 | Phillips 66 3.85% 04/09/2025 | $45,315.55 | 0.52% |
278642AL7 | 278642AL7 | eBay Inc 3.45% 08/01/2024 | $39,685.79 | 0.46% |
031162BV1 | 031162BV1 | Amgen Inc 3.625% 05/22/2024 | $39,885.53 | 0.46% |
244199BH7 | 244199BH7 | Deere & Co 2.75% 04/15/2025 | $39,029.55 | 0.45% |
02665WDY4 | 02665WDY4 | American Honda Finance Corp 0.75% 08/09/2024 | $39,365.14 | 0.45% |
58013MES9 | 58013MES9 | McDonald's Corp 3.25% 06/10/2024 | $37,835.85 | 0.43% |
42824CBJ7 | 42824CBJ7 | Hewlett Packard Enterprise Co 1.45% 04/01/2024 | $37,000.00 | 0.42% |
375558AZ6 | 375558AZ6 | Gilead Sciences Inc 3.5% 02/01/2025 | $36,421.63 | 0.42% |
22160KAL9 | 22160KAL9 | Costco Wholesale Corp 2.75% 05/18/2024 | $35,869.09 | 0.41% |
24422ESP5 | 24422ESP5 | John Deere Capital Corp 3.35% 06/12/2024 | $34,859.79 | 0.40% |
29717PAP2 | 29717PAP2 | Essex Portfolio LP 3.5% 04/01/2025 | $34,294.76 | 0.39% |
025816CV9 | 025816CV9 | American Express Co 3.375% 05/03/2024 | $31,933.49 | 0.37% |
BITO 240621C00026000 | BITO 240621C00026000 | BITO US 06/21/24 C26 | $27,142.00 | 0.31% |
20826FAG1 | 20826FAG1 | ConocoPhillips Co 3.35% 05/15/2025 | $26,297.13 | 0.30% |
446413AS5 | 446413AS5 | Huntington Ingalls Industries Inc 3.844% 05/01/2025 | $25,510.15 | 0.29% |
674599EB7 | 674599EB7 | OCCIDENTAL PETE CORP 5.875% 09/01/2025 | $25,097.38 | 0.29% |
87264ABB0 | 87264ABB0 | T-Mobile USA Inc 3.5% 04/15/2025 | $21,577.10 | 0.25% |
571900BB4 | 571900BB4 | Marriott International Inc/MD 3.6% 04/15/2024 | $20,980.29 | 0.24% |
58933YAR6 | 58933YAR6 | Merck & Co Inc 2.75% 02/10/2025 | $20,571.16 | 0.24% |
34964CAA4 | 34964CAA4 | Fortune Brands Innovations Inc 4% 06/15/2025 | $19,616.66 | 0.22% |
58013MEU4 | 58013MEU4 | McDonald's Corp 3.375% 05/26/2025 | $19,583.35 | 0.22% |
13607GAP9 | 13607GAP9 | Canadian Imperial Bank of Commerce 3.1% 04/02/2024 | $18,000.00 | 0.21% |
91324PEB4 | 91324PEB4 | UnitedHealth Group Inc 0.55% 05/15/2024 | $17,893.62 | 0.21% |
053332AY8 | 053332AY8 | AutoZone Inc 3.625% 04/15/2025 | $17,674.02 | 0.20% |
858119BL3 | 858119BL3 | Steel Dynamics Inc 2.4% 06/15/2025 | $15,414.49 | 0.18% |
283695BE3 | 283695BE3 | El Paso Natural Gas Co LLC 7.5% 11/15/2026 | $15,725.28 | 0.18% |
44107TAX4 | 44107TAX4 | Host Hotels & Resorts LP 3.875% 04/01/2024 | $15,000.00 | 0.17% |
61746BDQ6 | 61746BDQ6 | Morgan Stanley 3.875% 04/29/2024 | $14,977.92 | 0.17% |
14913R2L0 | 14913R2L0 | Caterpillar Financial Services Corp 0.45% 05/17/2024 | $14,902.84 | 0.17% |
09261HAB3 | 09261HAB3 | Blackstone Private Credit Fund 1.75% 09/15/2024 | $14,708.86 | 0.17% |
59156RBM9 | 59156RBM9 | MetLife Inc 3% 03/01/2025 | $14,678.13 | 0.17% |
FGXXX | 31846V336 | First American Government Obligations Fund 12/01/2031 | $13,547.92 | 0.16% |
TLT 240621C00094000 | TLT 240621C00094000 | TLT US 06/21/24 C94 | $14,160.00 | 0.16% |
QQQ 240621C00410000 | QQQ 240621C00410000 | QQQ US 06/21/24 C410 | $12,945.00 | 0.15% |
458140BD1 | 458140BD1 | Intel Corp 2.875% 05/11/2024 | $11,961.93 | 0.14% |
46625HJY7 | 46625HJY7 | JPMorgan Chase & Co 3.875% 09/10/2024 | $11,904.93 | 0.14% |
723787AT4 | 723787AT4 | Pioneer Natural Resources Co 1.125% 01/15/2026 | $11,176.37 | 0.13% |
48133DE55 | 48133DE55 | JPMorgan Chase Financial Co LLC 3.125% 04/29/2024 | $10,960.88 | 0.13% |
68389XBT1 | 68389XBT1 | Oracle Corp 2.5% 04/01/2025 | $10,672.46 | 0.12% |
785592AM8 | 785592AM8 | Sabine Pass Liquefaction LLC 5.625% 03/01/2025 | $9,991.44 | 0.11% |
031162DM9 | 031162DM9 | Amgen Inc 5.25% 03/02/2025 | $9,973.67 | 0.11% |
42824CBL2 | 42824CBL2 | Hewlett Packard Enterprise Co 5.9% 10/01/2024 | $10,021.07 | 0.11% |
292480AH3 | 292480AH3 | Energy Transfer LP 6.022% 05/15/2024 | $7,982.27 | 0.09% |
482480AE0 | 482480AE0 | KLA Corp 4.65% 11/01/2024 | $6,967.35 | 0.08% |
822582BD3 | 822582BD3 | Shell International Finance BV 3.25% 05/11/2025 | $6,864.78 | 0.08% |
571903AW3 | 571903AW3 | Marriott International Inc/MD 3.75% 03/15/2025 | $5,898.76 | 0.07% |
30231GAF9 | 30231GAF9 | Exxon Mobil Corp 2.709% 03/06/2025 | $5,867.89 | 0.07% |
745310AH5 | 745310AH5 | Puget Energy Inc 3.65% 05/15/2025 | $4,885.17 | 0.06% |
615369AS4 | 615369AS4 | Moody's Corp 3.75% 03/24/2025 | $4,919.54 | 0.06% |
384802AE4 | 384802AE4 | WW Grainger Inc 1.85% 02/15/2025 | $4,853.71 | 0.06% |
00287YBZ1 | 00287YBZ1 | AbbVie Inc 2.6% 11/21/2024 | $2,946.81 | 0.03% |
666807BM3 | 666807BM3 | Northrop Grumman Corp 2.93% 01/15/2025 | $2,944.96 | 0.03% |
548661DD6 | 548661DD6 | Lowe's Cos Inc 3.125% 09/15/2024 | $1,977.96 | 0.02% |
Cash&Other | Cash&Other | Cash & Other | -$332,309.83 | -3.81% |
Portfolio holdings and allocations are subject to change and should not be considered investment advice or a recommendation to buy, sell or hold any particular security.
How to Buy
BFIX Availability for Individuals and Advisors
Individual Brokerage Accounts
Individual investors may be able to purchase shares of BFIX on the popular brokerage platforms listed below. Please log into your brokerage account and search for the ticker symbol BFIX to check availability. If BFIX is not available, please reach out to your brokerage for more information. You may also call us at (833) 852-8453.
Financial Advisor Platforms
Financial advisors may be able to purchase shares of BFIX on their platforms. Please check with your platform provider or call us at (833) 852-8453 if you require assistance.
DEFINITIONS OF TERMS:
Investment Grade Fixed Income – To be considered an investment grade issue, the company must be rated at ‘BBB’ or higher by Standard and Poor’s or Moody’s. Anything below this ‘BBB’ rating is considered non-investment grade.
30-Day SEC Yield – Yield calculation that reflects the dividends and interest earned during the period after the deduction of the fund’s expenses. It is also referred to as the “standardized yield.”
Call Option – A call is an option contract giving the owner the right, but not the obligation, to buy a specified amount of an underlying security at a specified price within a specified time.
Put Option – Put options give holders of the option the right, but not the obligation, to sell a specified amount of an underlying security at a specified price within a specified time frame.
Weighted Average Maturity – Weighted average maturity is a measure of the overall maturity of the debt securities in a portfolio.
Duration – Duration is a measure of the sensitivity of the price of a bond or other debt instrument to a change in interest rates. Duration can measure how long it takes, in years, for an investor to be repaid the bond’s price by the bond’s total cash flows. Duration can also measure the sensitivity of a bond’s or fixed income portfolio’s price to changes in interest rates. In general, the higher the duration, the more a bond’s price will drop as interest rates rise (and the greater the interest rate risk). For example, if rates were to rise 1%, a bond or bond fund with a five-year average duration would likely lose approximately 5% of its value.
Option-Adjusted Duration – A measure of fixed income duration that accounts for the effect of a call option on the expected life of a bond.
BFIX News & Insights
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Four Macro Trends Every Advisor Needs to Know
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Tax Loss Harvesting Should Be Top of Mind for Bond Investors
Opportunities for tax loss harvesting should be regularly reviewed in every taxable portfolio, not just when taxes are top of mind.