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BOXX — Alpha Architect 1-3 Month Box ETF

Alpha Architect 1-3 Month Box ETF (ticker: BOXX) is a bond ETF issued by ETF Architect tracking ACTIVE - No Index. It was launched on 2022-12-28.

Live Price$116.99
Change0.04%
AUM$12.29B
Expense Ratio0.00%
Avg Volume2,403,967.684

Returns (Total Return)

PeriodReturn
1 Day-0.01%
1 Week0.03%
1 Month0.25%
3 Months0.91%
6 Months1.94%
YTD1.60%
1 Year4.04%
3 Years14.84%
5 Years
10 Years
Since Inception

Top Holdings

#SecuritySymbolWeight
1 SPY 11/15/2024 10010.01 P N/A 148.48%
2 SPY 11/15/2024 10010.01 P N/A 148.48%
3 SPY 11/15/2024 10010.01 P N/A 148.48%
4 SPY 11/15/2024 10010.01 P N/A 148.48%
5 SPY 11/15/2024 10010.01 P N/A 148.48%
6 SPY 11/15/2024 10010.01 P N/A 148.48%
7 SPY 11/15/2024 10010.01 P N/A 147.78%
8 SPY 11/15/2024 10010.01 P N/A 147.78%
9 SPY 11/15/2024 10010.01 P N/A 147.78%
10 SPY 11/15/2024 10010.01 P N/A 147.78%

Fund Profile

IssuerETF Architect
BrandAlpha Architect
Asset Classbond
StrategyActive
StructureETF
CategoryGovernment Bonds
SegmentFixed Income: U.S. - Government, Treasury Investment Grade Ultra-Short Term
RegionNorth America
Index TrackedACTIVE - No Index
Inception Date2022-12-28
Tax on DistributionsOrdinary income

Quick Facts

TickerBOXX
Full NameAlpha Architect 1-3 Month Box ETF
IssuerETF Architect
Asset Classbond
Expense Ratio0.00%
AUM$12.29B
Inception2022-12-28
Index TrackedACTIVE - No Index

Frequently Asked Questions

What does BOXX track?

BOXX (Alpha Architect 1-3 Month Box ETF) tracks ACTIVE - No Index, a bond benchmark.

What is the expense ratio of BOXX?

BOXX has an expense ratio of 0.00% per year.

What is the AUM of BOXX?

BOXX has approximately $12.29B in assets under management.

Does BOXX pay a dividend?

BOXX distributes income according to its prospectus (Ordinary income tax treatment). Check the dividend history tab for ex-dividend dates and yield.

Who issues BOXX?

BOXX is issued by ETF Architect under the Alpha Architect brand, launched on 2022-12-28.

Open the interactive BOXX dashboard for charts, historical fund flows, holdings breakdown and seasonality patterns.