AVSF

Avantis$46.81-0.04 (-0.08%)
AUM $679.6MER 0.15%NAV $46.87Holdings 545

Price Chart

Key Statistics

Previous Close

$46.85

Day Range

$46.80$46.86

52-Week Range

$46.44$47.37

Avg Volume

185.7K

Dividend Yield

4.34%

Expense Ratio

0.15%

AUM

$679.6M

Shares Outstanding

16.0M

ETF Grades

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Sector Breakdown

SectorWeight %
Cash & Others100.00%

Country Allocation

CountryWeight %
United States87.64%
Canada4.35%
United Kingdom2.06%
Japan1.17%
Luxembourg0.81%
Ireland0.72%
Netherlands0.61%
Australia0.57%
Germany0.51%
Singapore0.40%
Spain0.30%
Other0.17%
China0.17%
Norway0.16%
Sweden0.15%
Austria0.14%
Philippines0.05%
Finland0.03%

Fund Information

Issuer
Avantis
Inception Date
Oct 13, 2020
Exchange
NYSE_ARCA
Description
Invests in a broad set of short-term debt obligations across sectors, maturities and issuers.Pursues the benefits associated with indexing such as diversification and transparency of exposures, but with the ability to add value by making investment decisions using information embedded in current yields.Efficient portfolio management and trading process that is designed to enhance returns while seeking to reduce unnecessary risks and transaction costs.Built to fit seamlessly into an investor's asset allocation.

Similar ETFs

SymbolNameAUM
BNDVanguard Total Bond Market ETF$387.40B
AGGiShares Core U.S. Aggregate Bond ETF$136.09B
BNDXVanguard Total International Bond ETF$116.90B
SGOViShares 0-3 Month Treasury Bond ETF$84.70B
BSVVanguard Short-Term Bond ETF$69.80B

The Avantis Short-Term Fixed Income ETF (AVSF) is an exchange-traded fund issued by Avantis that launched on Oct 13, 2020. It currently manages $679.6M in assets under management. The fund charges an expense ratio of 0.15%. The fund holds 545 securities in its portfolio. It falls under the Cash & Others category.

Top 10 holdings represent 9.7% of the fund

RankSymbolNameWeight %SharesMarket Value
1US TREASURY N/B 01/29 3.51.04%7,040,000$7.0M
2US TREASURY N/B 02/29 1.8751.03%7,279,800$6.9M
3US TREASURY N/B 03/29 2.3751.01%7,110,000$6.8M
4US TREASURY N/B 05/29 2.750.99%6,897,000$6.7M
5US TREASURY N/B 10/26 1.6250.99%6,720,000$6.6M
6US TREASURY N/B 12/28 1.3750.98%7,032,000$6.6M
7US TREASURY N/B 07/26 4.3750.97%6,500,000$6.5M
8US TREASURY N/B 08/30 0.6250.90%6,950,000$6.0M
9US TREASURY N/B 11/28 3.1250.89%6,054,700$5.9M
10US TREASURY N/B 11/30 4.3750.88%5,832,000$5.9M
11US TREASURY N/B 01/29 1.750.86%6,148,300$5.8M
12US TREASURY N/B 08/26 1.50.85%5,730,000$5.7M
13US TREASURY N/B 09/26 3.50.84%5,675,000$5.7M
14US TREASURY N/B 07/29 2.6250.84%5,870,000$5.6M
15US TREASURY N/B 05/26 0.750.83%5,590,000$5.6M
Page 1 of 11

Detailed Returns

PeriodReturnETF
1D
-0.08%
1W
-0.14%
1M
+0.24%
3M
-0.71%
6M
-0.85%
YTD
-0.55%
1Y
-0.09%
3Y
+1.48%
5Y
-6.27%

Moving Averages

20-Day MA

$46.79

Above 20-Day MA
50-Day MA

$46.93

Below 50-Day MA
200-Day MA

$47.05

Below 200-Day MA

Price with Moving Averages

Support & Resistance

52-Week High

$47.37

Current Price

$46.81

52-Week Low

$46.44

$46.44$47.37

Current Yield

4.34%

Annual Dividend

$0.6835

Frequency

12x/year

Last Ex-Date

Mar 5, 2026

Dividend History

Ex-DateAmountPay Date
Mar 5, 2026$0.1563Mar 9, 2026
Feb 5, 2026$0.1843Feb 9, 2026
Dec 16, 2025$0.1931Dec 18, 2025
Dec 1, 2025$0.1498Dec 3, 2025
Nov 3, 2025$0.1691Nov 5, 2025
Oct 1, 2025$0.1795Oct 3, 2025
Sep 2, 2025$0.1582Sep 4, 2025
Aug 1, 2025$0.1808Aug 5, 2025
Jul 1, 2025$0.1627Jul 3, 2025
Jun 2, 2025$0.1640Jun 4, 2025
May 1, 2025$0.1818May 5, 2025
Apr 1, 2025$0.1626Apr 3, 2025
Mar 3, 2025$0.1656Mar 5, 2025
Feb 3, 2025$0.1635Feb 5, 2025
Dec 17, 2024$0.1892Dec 19, 2024
Dec 2, 2024$0.1552Dec 4, 2024
Nov 1, 2024$0.1616Nov 5, 2024
Oct 1, 2024$0.1606Oct 3, 2024
Sep 3, 2024$0.1656Sep 5, 2024
Aug 1, 2024$0.1853Aug 5, 2024

Dividend Payments Over Time

Category Comparison

MetricAVSFCash & Others(1004 ETFs)Income(1130 ETFs)
Fund Info
Expense Ratio0.15%0.62%0.72%
AUM$679.6M$2.70B$1.48B
Dividend Yield4.34%9.44%11.21%
Avg Volume185.7K1.2M219.1K
Holdings545379161
Performance
1-Month Return+0.32%+1.49%+2.23%
6-Month Return-0.97%-2.27%-2.79%
YTD Return-0.49%+0.42%-0.93%
1-Year Return+0.73%+5.38%+4.59%

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