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Overlay Shares Hedged Large Cap Equity ETF (OVLH) Stock Price, Quote, News & History

OVLHBATS
$39.25
0.00190.00%
At close: Feb 13, 4:00 PM EST
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Sector
Technology
Region
US
AUM
100.88M
Fund Score

Key Statistics

Open
-
High
-
52 Wk High
$40.66
AUM
100.88M
Dividend
$0.11
Ex-Div Date
Dec 23, 2025
Volume
-
Market Cap
$1,411.38B
Mgmt Fee
0.75%
P/E Ratio
26.25
Prev. Close
$39.24
Low
-
52 Wk Low
$31.90
Shares Out
1.00M
Yield
0.29%
Div. Freq
-
Avg. Volume Daily
19.30K
Beta
0.73
Avg. Expense Ratio
0.8%
P/B Ratio
4.67

Recent Overlay Shares Hedged Large Cap Equity ETF News

No news found

FAQ

Q

How do I buy Overlay Shares Hedged Large Cap Equity ETF (OVLH) stock?

A

You can purchase shares of Overlay Shares Hedged Large Cap Equity ETF (BATS:OVLH) through any online brokerage.

View our list of the best stock brokerages

Q

Who are Overlay Shares Hedged Large Cap Equity ETF (OVLH) competitors?

A

There are no as such competitors for Overlay Shares Hedged Large Cap Equity ETF.

Q

What is the forecast, or price target, for Overlay Shares Hedged Large Cap Equity ETF (OVLH) stock?

A

There is no analysis for Overlay Shares Hedged Large Cap Equity ETF to provide a consensus price target.

Q

What is the current price for Overlay Shares Hedged Large Cap Equity ETF (OVLH)?

A

The stock price for Overlay Shares Hedged Large Cap Equity ETF (BATS: OVLH) is $39.2466 last updated February 17, 2026 at 8:00 PM EST.

Q

Does Overlay Shares Hedged Large Cap Equity ETF (OVLH) pay a dividend?

A

There are no upcoming dividends for Overlay Shares Hedged Large Cap Equity ETF.

Q

When is Overlay Shares Hedged Large Cap Equity ETF (BATS:OVLH) reporting earnings?

A

Overlay Shares Hedged Large Cap Equity ETF does not have any upcoming earnings scheduled.

Q

Is Overlay Shares Hedged Large Cap Equity ETF (OVLH) going to split?

A

There is no upcoming split for Overlay Shares Hedged Large Cap Equity ETF.

Key Statistics

Open
-
High
-
52 Wk High
$40.66
AUM
100.88M
Dividend
$0.11
Ex-Div Date
Dec 23, 2025
Volume
-
Market Cap
$1,411.38B
Mgmt Fee
0.75%
P/E Ratio
26.25
Prev. Close
$39.24
Low
-
52 Wk Low
$31.90
Shares Out
1.00M
Yield
0.29%
Div. Freq
-
Avg. Volume Daily
19.30K
Beta
0.73
Avg. Expense Ratio
0.8%
P/B Ratio
4.67

About

Sector
N/A
Industry
N/A
ETF Details
SectorTechnology
CategoryShort Term Safe
Investment StyleLarge Cap Blend
Fund InceptionJan 14, 2021
Managers
Shawn Gibson
Adam Stewart
DefinitionFixed income fund portfolio contains a large percentage of securities with low duration and superior credit quality
Investment Policy
The Fund is an actively-managed exchange-traded fund that seeks to achieve its objective by (i) investing in one or more other ETFs that seek to obtain exposure to the performance of U.S. large-cap equity securities or directly in the securities held by such ETFs, and (ii) purchasing long-term out-of-the-money put options to seek to hedge against significant declines in U.S. large-cap equities. Under normal circumstances, at least 80% of the Fund's net assets, plus borrowings for investment purposes, will be invested, directly or indirectly through ETFs, in equity securities of large-cap companies. In order to mitigate the risks of significant declines in U.S. large-cap equities, the Fund will purchase a series of long-term out-of-the-money put options on the reference asset (typically an index of large-cap securities) with expiration terms ranging from 6 to 18 months. The Fund will typically purchase large put options with a notional value (strike price times the value of the shares) generally approximating the Fund's net asset value. The Fund focuses primarily on equity index options which offer both European settlement and cash settlement. The Fund's purchase of put options may result in the generation of positive returns for the Fund; however, the loss potential if the strategy is not effective may be greater than the profit potential. The Adviser employs a disciplined portfolio construction process that relies on guidelines to govern capital allocations based on a quantitative methodology designed by the Adviser to measure the perceived risk of the broad U.S. equity market. In making this determination, the Adviser considers various factors including but not limited to the overall volatility in the markets. The Adviser bases allocation decisions on a combination of quantitative risk metrics and a qualitative assessment of potential risk - reward scenarios, with the ultimate goals of mitigating the effects of volatility in the Fund's portfolio and maintaining adequate portfolio diversification while seeking to achieve the Fund's targeted return. The Adviser evaluates the metrics associated with the valuation of options, including volatility, time to expiration and the relationship of the exercise price to the prevailing market price of the reference asset. There can be no guarantee that the Adviser will be successful in implementing the Fund's strategy. During market conditions in which market volatility rises, the price of options could rise, which could affect the Fund's performance and ability to achieve its targeted return.
Top ETF Holdings
SymbolNameShare %
VOOVanguard S&P 500 ETF97.4%