Eaton Vance Income Opportunities ETF
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XAGG |
CUSIP: 61774R817 |
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MORNINGSTAR CATEGORY |
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OVERALL MORNINGSTAR RATING as of 11/30/2025 |
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Market Price |
as of 12/05/2025 |
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$50.50 |
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Market Price Change |
as of 12/05/2025 |
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Nav |
as of 12/05/2025 |
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$50.31 |
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Nav Change |
as of 12/05/2025 |
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30 DAY SEC YIELD1 |
as of 12/31/2024 |
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– |
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30 DAY SEC YIELD UNSUB1 |
as of 12/31/2024 |
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– |
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Why XAGG Why XAGG
This flexible, multi-sector Fund provides diversified exposure to the "plus sectors" of the global fixed income markets, offering a core holding that may complement traditional bond market investments. The Fund's actively-managed approach draws upon Eaton Vance's longstanding expertise in non-core segments of the fixed income markets, including securitized assets, emerging markets debt, high yield corporates and floating-rate bank loans, among others.
Access a low-cost, transparent and tax-efficient Exchange Traded Fund (ETF) that seeks competitive performance and attractive yields.
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Pricing
Pricing
Historical Price As of 12/05/2025 (updated daily upon availability) Past performance is not indicative of future results. Historical Price
As of
12/05/2025
(updated daily upon availability) Past performance is not indicative of future results. Premium/Discount As of 12/05/2025 (updated upon availability) Premium/Discount
As of
12/05/2025
(updated upon availability) Past performance is not indicative of future results. The above frequency distribution chart presents information about the difference between the daily market price for shares of the Fund and the Fund's reported Net Asset Value. The amount that the Fund's market price is above the reported NAV is called the premium. The amount that the Fund's market price is below the reported NAV is called the discount. The market price is determined using the midpoint between the highest bid and the lowest offer on the listing exchange, as of the time that the Fund's NAV is calculated (usually 4:00 p.m. EST). Number of Days at Premium / Discount
Past performance is not indicative of future results. The above frequency distribution chart presents information about the difference between the daily market price for shares of the Fund and the Fund's reported Net Asset Value. The amount that the Fund's market price is above the reported NAV is called the premium. The amount that the Fund's market price is below the reported NAV is called the discount. The market price is determined using the midpoint between the highest bid and the lowest offer on the listing exchange, as of the time that the Fund's NAV is calculated (usually 4:00 p.m. EST). Number of Days at Premium/Discount
Expense Ratio2 Gross 0.55% Net 0.50% |
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Performance & Distributions
Performance data quoted represents past performance, which is no guarantee of future results, and current performance may be lower or higher than the figures shown. For the most recent performance figures, please select the "daily" timeframe or call 1-800-836-2414. Investment returns and principal value will fluctuate and Fund shares, when redeemed, may be worth more or less than their original cost. For additional important information, please click here. Returns As of 12/05/2025 (updated upon availability)
Returns
As of org.apache.sling.scripting.sightly.apps.imweb.components.pageComponents.etfDetail.dateFormatting__002e__html$1@577cf260
(updated daily upon availability)
Shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Total Returns are calculated using the daily 4:00pm net assetvalue (NAV). Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market pricereturns do not represent the returns you would receive if you traded shares at other times. Prior to listing date, the ETF operated as a mutual fund. The ETF has the same investment goal and uses a substantively similar investment strategy as the predecessor mutual fund. The NAV and market price performance of the ETF use the predecessor mutual fund’s NAV from inception to listing. The ETF’s returns reflect the higher expenses of the predecessor mutual fund and have not been adjusted. Predecessor fund performance may have been different if it had an ETF structure. The market price return is calculated from closing prices as calculated by the fund’s listing exchange for the ETF. The market price return is calculated from closing prices as calculated by the fund’s listing exchange for the ETF. If shares are traded at another time, returns may differ. Returns for the period from inception to listing date use the Fund’s NAV as a market price proxy. Growth of 10K As of 11/30/2025 (updated monthly upon availability) As of 11/30/2025 (updated monthly upon availability) Past performance is not indicative of future results. The returns shown in the graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of fund shares. Prior to listing date, the ETF operated as a mutual fund. The ETF has the same investment goal and uses a substantively similar investment strategy as the predecessor mutual fund. The NAV and market price performance of the ETF use the predecessor mutual fund’s NAV from inception to listing. The ETF’s returns reflect the higher expenses of the predecessor mutual fund and have not been adjusted. Predecessor fund performance may have been different if it had an ETF structure. The market price return is calculated from closing prices as calculated by the fund’s listing exchange for the ETF. The market price return is calculated from closing prices as calculated by the fund’s listing exchange for the ETF. If shares are traded at another time, returns may differ. Returns for the period from inception to listing date use the Fund’s NAV as a market price proxy. Past performance is not indicative of future results. The returns shown in the graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of fund shares. Prior to listing date, the ETF operated as a mutual fund. The ETF has the same investment goal and uses a substantively similar investment strategy as the predecessor mutual fund. The NAV and market price performance of the ETF use the predecessor mutual fund’s NAV from inception to listing. The ETF’s returns reflect the higher expenses of the predecessor mutual fund and have not been adjusted. Predecessor fund performance may have been different if it had an ETF structure. The market price return is calculated from closing prices as calculated by the fund’s listing exchange for the ETF. The market price return is calculated from closing prices as calculated by the fund’s listing exchange for the ETF. If shares are traded at another time, returns may differ. Returns for the period from inception to listing date use the Fund’s NAV as a market price proxy. Distributions As of 12/05/2025 (updated as distributions are paid) Distributions
As of
12/05/2025
(updated as distributions are paid)
For the Fund's most recent 19(a) notice, visit the Tax Center Performance data quoted represents past performance, which is no guarantee of future results, and current performance may be lower or higher than the figures shown. For the most recent performance figures, please call 1-800-836-2414. Investment returns and principal value will fluctuate and fund shares, when redeemed, may be worth more or less than their original cost. For additional important information, please click here. For the Fund's most recent 19(a) notice, visit the Tax Center Performance data quoted represents past performance, which is no guarantee of future results, and current performance may be lower or higher than the figures shown. For the most recent performance figures, please call 1-800-836-2414. Investment returns and principal value will fluctuate and fund shares, when redeemed, may be worth more or less than their original cost. For additional important information, please click here. |
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Key Facts & Characteristics
Key FactsKey Facts
Asset Class
Multi-Sector
CUSIP
61774R817
Ticker
XAGG
IOPV Intraday Ticker
XAGG.IV
Inception Date
07/28/1997
Listing Date
11/10/2025
Investment Style
Active
Characteristics4
Morningstar Rating & Rankings As of 11/30/2025 As of 11/30/2025
Rankings are based on total returns, are historical and do not guarantee future results. Ratings are based on Risk Adjusted Return. For additional Morningstar information, refer to the disclosures below. |
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Top 10 Holdings
As of 12/05/2025 (updated daily upon availability) Top 10 Holdings
Holdings subject to change. Holdings subject to change.
Composition
Composition
This information is temporarily unavailable This information is temporarily unavailable |
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Meet the Team
Portfolio Managers
Managing Director, Head of Investment Strategy, Portfolio Manager
19 years industry experience
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Resources
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