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Launched

FPA Short Duration Government ETF

FPASCboeWe have not yet analyzed this fund's documents to determine what it sets out to do. This is typical for new listings awaiting their first analysis pass.

$23.88+0.08 (+0.34%)

As of Oct 5, 2026, 10:12 AM

Intraday session: up, 5 prints from 23.80 to 23.88. Range 23.80 to 23.96. Use the arrow keys to read each point.23.8223.8523.9023.9323.9510 AM12 PM2 PM4 PM
Expense ratio
8.90%
Fund size
$14M
1Y return
−2.3%
Yield · Last 12 months
5.01%
Holdings
5
Avg volume · 30D
0M sh
NAV per share
$23.84
52W range
low $23.69high $25.60
Launched

The ETF.net FPAS Grade

—

Mandate not yet analyzed

We have not yet analyzed this fund's documents to determine what it sets out to do. This is typical for new listings awaiting their first analysis pass.

FPAS Holdings

As of Oct 5, 2026
Asset class
Stocks
Holdings
5
Top-10 weight
100%
Largest holding
Us Treas Nts 4.125% 06/30/3156.0%

Geography

  • United States100.00%
The fund’s holdings, weight-ordered — page 1 of 1.
#TickerCompanyWeight %SharesMarket valueIn ETFs
001—Us Treas Nts 4.125% 06/30/3156.00%7,899,000$8M34
002—Us Treas Nts 4.125% 05/31/3121.63%3,038,000$3M34
003—Us Treas Nts 4.375% 07/31/3117.12%2,398,000$2M34
004—Us Treas Nts 4.375% 08/31/314.30%605,000$590K38
005—Cashusd1.13%155,190$155K52

Showing 1–5 of 5 holdings

FPAS Performance

Launched Oct 29, 2024

Shows how $10,000 changes over the selected period, with cash distributions reinvested at the closing price on each ex-dividend date.

Not enough history yet.Not enough history yet.Not enough history yet.
FPAS$9,770
SPY tracks large US stocks. It provides market context, rather than representing this fund’s strategy, asset class or investment benchmark.$11,624
Oct 2, 2025 to Oct 2, 2026. FPAS $9,770. SPY $11,624. Use the arrow keys to read each point.$9,319$10,609$11,898Oct 2025Apr 2026Oct 2026

Oct 2, 2025 – Oct 2, 2026

Returns run to the Oct 2, 2026 close, with cash distributions reinvested. Each period starts on the same date that many months or years earlier. Periods over one year show the average yearly return.

Trailing total return for FPAS. Periods over one year show the average yearly return.
PeriodFPAS
Year to date−3.1%
1 month−1.9%
3 months−2.5%
1 year−2.3%
3 yearsFund is under 3 years old—per year
5 yearsFund is under 5 years old—per year
10 yearsFund is under 10 years old—per year

As of the close, with distributions reinvested.

Calendar-year total return with cash distributions hypothetically reinvested at the ex-dividend date’s closing price. The current year shows year to date.

Annual total returns for FPAS
YearReturn barFPAS
2026 YTD−3.1%
2025+7.2%
20240.0%

History from Nov 1, 2024

FPAS in the news

No ETF.net Research article names FPAS yet.

FPAS Dividends

Adds up every distribution paid per share over the last 12 months, divided by the last completed close. Distributions are counted by ex-date. Data through Oct 2, 2026.
5.01%Last 12 months
Payout per share
$1.19Last 12 months
Last payment
$0.09 per share
Paid on
Shares bought on or after this date do not qualify for this distribution.
Frequency
Monthly

Distribution history

2024–2026

One bar per payment. 23 payments from 2024 to 2026 YTD. Nov 13, 2024 $0.08; Dec 13, 2024 $0.09; Jan 13, 2025 $0.08; Feb 13, 2025 $0.08; Mar 13, 2025 $0.08; Apr 15, 2025 $0.08; May 13, 2025 $0.09; Jun 13, 2025 $0.08; Jul 15, 2025 $0.08; Aug 13, 2025 $0.08; Sep 15, 2025 $0.08; Oct 14, 2025 $0.15; Nov 13, 2025 $0.15; Dec 12, 2025 $0.16; Jan 13, 2026 $0.08; Feb 13, 2026 $0.07; Mar 13, 2026 $0.08; Apr 14, 2026 $0.09; May 12, 2026 $0.08; Jun 16, 2026 $0.08; Jul 14, 2026 $0.08; Aug 13, 2026 $0.09; Sep 15, 2026 $0.09. Use the arrow keys to read each point.202420252026YTD
Ex-datePay dateAmount per share
Sep 15, 2026Sep 22, 2026$0.09
Aug 13, 2026Aug 20, 2026$0.09
Jul 14, 2026Jul 21, 2026$0.08
Jun 16, 2026Jun 23, 2026$0.08
May 12, 2026May 19, 2026$0.08
Apr 14, 2026Apr 21, 2026$0.09
Mar 13, 2026Mar 20, 2026$0.08
Feb 13, 2026Feb 20, 2026$0.07
Jan 13, 2026Jan 20, 2026$0.08
Dec 12, 2025Dec 18, 2025$0.16
Nov 13, 2025Nov 20, 2025$0.15
Oct 14, 2025Oct 21, 2025$0.15

FPAS Risk

How much the fund’s monthly returns vary, scaled to a year.
3.5%
Annualised · 22 months to Sep 2026
How it’s calculated: standard deviation

The sample standard deviation of monthly total returns, multiplied by the square root of 12.

Uses up to 36 complete months, with at least 12 required. Total returns include reinvested distributions.

Return above 3-month US Treasury bills per unit of volatility.
−0.75
vs 3-month T-bills · 22 months to Sep 2026
How it’s calculated: Sharpe ratio

Subtract each month’s Treasury-bill return from the fund’s monthly total return.

Divide the average of those excess returns by their sample standard deviation, then multiply by the square root of 12.

Uses up to 36 complete months, with at least 12 required. Each month uses the Treasury yield quoted at the end of the previous month.

The largest fall from a peak to the low that followed.
−4.5%
23 months · trough Sep 2026
How it’s calculated: maximum drawdown

The largest percentage decline from an earlier peak, using total returns with reinvested distributions.

Uses up to five years through the last close, with at least 12 months required.

How strongly the fund’s returns move with its asset-class index.
−0.02
vs its asset-class index
How it’s calculated: beta

The beta figure is supplied by FMP. The comparison index depends on the fund’s broad asset class.

FPAS Cost

Expense ratio8.90%

FPAS costs $890.00 a year on $10,000.