Listed Funds Trust Submits NPORT-P SEC Filing (0001683471) as Filer

The recent NPORT-P filing submitted by Listed Funds Trust (0001683471) holds significant importance as it provides detailed insights into the fund’s portfolio holdings, investment strategies, and performance metrics. Investors and analysts often rely on such filings to assess the fund’s risk profile, asset allocation, and overall financial health. The information disclosed in the NPORT-P filing can help stakeholders make informed decisions regarding their investment in the Listed Funds Trust.

Listed Funds Trust is a reputable investment company that offers a range of funds catering to different investment objectives and risk appetites. As the filer of the NPORT-P form, Listed Funds Trust is required to adhere to regulatory guidelines set forth by the Securities and Exchange Commission (SEC) regarding the disclosure of portfolio information. Investors interested in exploring the offerings of Listed Funds Trust can visit their official website for detailed information on available funds, investment strategies, and performance history.

The NPORT-P form, also known as the Monthly Portfolio Investments Report, is a filing required by the SEC for registered investment companies to report their portfolio holdings on a monthly basis. This form provides transparency into the fund’s investments, including details on individual securities, asset allocation, and market values. By submitting the NPORT-P filing, Listed Funds Trust demonstrates its commitment to regulatory compliance and transparency in reporting its investment activities to the SEC and investors.

Read More:
Listed Funds Trust Submits NPORT-P Filing with SEC (0001683471) – Latest Update


Comments

Leave a Reply

Your email address will not be published. Required fields are marked *