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Nouriel Roubini and Atlas Capital Team Launch the Atlas America Fund on US Nasdaq (Ticker: USAF)

Nouriel Roubini and Atlas Capital Team Launch the Atlas America Fund on US Nasdaq (Ticker: USAF)

努瑞爾·魯比尼和阿特拉斯資本團隊在美國納斯達克上推出了阿特拉斯美國基金(逐筆明細:USAF)
PR Newswire ·  11/20 22:36

An actively-managed real assets fund seeks to navigate growth and inflation risks

一隻主動管理的真實資產基金旨在應對增長和通貨膨脹風險

NEW YORK, Nov. 20, 2024 /PRNewswire/ -- World renown economist Nouriel Roubini and Atlas Capital Team Inc, a pioneer in modern investment solutions, are proud to announce the launch of its inaugural exchange- traded fund on the Nasdaq, the Atlas America Fund (Ticker: USAF). The launch marks Roubini's first entry into the $13 trillion global ETF market1.

紐約,2024年11月20日 /PRNewswire/ -- 世界著名經濟學家諾里爾·魯比尼和 阿特拉斯資本團隊 公司,作爲現代投資解決方案的先驅,自豪地宣佈其首個在納斯達克上市的交易所交易基金的推出, 阿特拉斯美國基金 (逐筆明細:USAF)。此次推出標誌着魯比尼首次進入價值13萬億美元的全球etf市場1。

The Atlas project was born out of discussions since 2017 with leading Washington think tanks, policymakers and academics in an effort to create a more stable, asset-backed US treasury alternative. The Atlas America Fund was built with a shared vision of creating a more resilient financial instrument for American investors, designed to support a secure economic environment, through offering inflation-hedged benefits and addressing critical needs in today's treasury market.

阿特拉斯項目誕生於2017年與華盛頓領先的智庫、政策制定者和學者的討論,旨在創造一個更穩定、有資產支持的美國國債替代品。阿特拉斯美國基金的建立,分享了一個共同的願景,即爲美國投資者創造一個更具彈性的金融工具,旨在通過提供抗通脹的利益,並解決今日國債市場的關鍵需求,來支持一個安全的經濟環境。

Blending intelligence from policy makers and economic experts, the USAF ETF offers exposure to a strategic blend of real assets for both institutional and retail investors across the United States. In doing so, it is purpose-built to manage growth and aims to enhance treasury stability whilst seeking to safeguard against inflationary pressures in the current economic landscape.

結合政策制定者和經濟專家的智慧,USAF etf 爲美國的機構和零售投資者提供接觸戰略性真實資產的機會。通過這樣做,它旨在管理增長,並旨在增強國債的穩定性,同時尋求抵禦當前經濟環境中的通脹壓力。

The Atlas America Fund is designed to provide diversified, resilient asset exposure by combining US Treasury bonds, gold, REITs, and food commodities. This actively managed ETF is carefully structured to adapt to the complex economic cycles anticipated in the coming years, offering investors a robust alternative to the traditional 60/40 portfolio that aims to serve as a core holding capable of withstanding market shifts. By regularly adjusting allocations based on growth and inflation trends, the USAF ETF seeks to provide both a balanced and flexible option to achieve long-term, risk-adjusted returns.

阿特拉斯美國基金旨在提供多樣化且具有韌性的資產投資,通過結合美國國債、黃金、信託和食品商品來實現。這隻積極管理的etf被精心結構化,以適應預期在未來幾年內複雜的經濟週期,爲投資者提供一種強大的替代方案,作爲傳統60/40投資組合的核心持有,以抵禦市場波動。通過根據增長和通脹趨勢定期調整配置,USAF etf 尋求提供一種平衡且靈活的選項,以實現長期的風險調整收益。

Commenting on the launch, Reza Bundy, CEO and Founder of Atlas Capital Team said, "The biggest challenges for investors remain access to liquidity and resilient, risk-weighted return on capital. Our goal with USAF is to offer investors a transparent way to access a diversified portfolio that responds to both growth opportunities and inflationary pressures. The launch of USAF represents our commitment to making real asset investments more accessible to a broader audience of investors, allowing them an opportunity to build resilient portfolios aligned with sustainable, long-term growth potential."

阿特拉斯資本團隊的首席執行官兼創始人雷扎·邦迪在發佈會上表示:「投資者最大的挑戰仍然是獲取流動性和韌性、風險加權的資本回報。我們與USAF的目標是爲投資者提供一種透明的方式,接觸能夠響應增長機會和通脹壓力的多樣化投資組合。USAF的推出代表了我們承諾使真實資產投資對更廣泛的投資者更加可及,從而讓他們有機會構建與可持續的長期增長潛力相一致的彈性投資組合。」

Chief Economist and Co-Founder of Atlas Capital Team, Dr. Nouriel Roubini, known for his extensive policy experience, adds his expertise to USAF's strategy. "As the economic environment becomes increasingly volatile, I believe real assets can provide a resilient solution for preserving value," said Dr. Roubini. "USAF is built to navigate these fluctuations, and with a proactive approach to risk management and growth, it offers investors an effective tool for adapting to the evolving macroeconomic landscape."

亞特拉斯資本團隊的首席經濟學家兼聯合創始人諾里爾·魯比尼博士,因其廣泛的政策經驗而聞名,他爲USAF的策略增添了專業知識。"隨着經濟環境日益動盪,我相信房地產可以爲保持價值提供一種穩健的解決方案,"魯比尼博士說。"USAF旨在應對這些波動,通過積極的風險管理和增長策略,它爲投資者提供了一種適應不斷變化的宏觀經濟環境的有效工具。"

The Atlas America Fund's active management approach focuses on maintaining optimal exposure to asset classes that have demonstrated resilience in shifting market conditions.

阿特拉斯美國基金的主動管理方法專注於保持對在市場變化條件下表現出韌性的資產類別的最佳敞口。

"USAF represents an innovative step forward in delivering real asset strategies that meet today's demands for both security and growth potential," added Bundy. "By providing investors with access to a range of assets expected to perform well under varying economic scenarios, we're proud to offer a potential solution that aligns with our broader mission of promoting financial inclusion and resilience."

"USAF代表着在提供滿足當今對安全性和增長潛力需求的房地產策略方面向前邁出一大步,"邦迪補充道。"通過爲投資者提供接觸在不同經濟情景下預期表現良好的各類資產,我們自豪地提供一個與我們推動金融包容性和韌性更廣泛使命相一致的潛在解決方案。"

USAF was launched with the support of the Goldman Sachs ETF Accelerator, a digital platform that enables Goldman Sachs' clients to quickly and efficiently launch, list, and manage ETFs.

USAF的推出得到了高盛etf加速器的支持,這是一個數字平台,使高盛的客戶能夠快速有效地推出、上市和管理etf。

1 JP Morgan ETF Guide, October 2024

1 JP Morgan etf指南,2024年10月

Notes to Editors

愛立信的5G網絡基礎設施產品組合包括

For further information and all press enquiries please contact:

如需進一步信息和所有媒體查詢,請聯繫:

[email protected]

[email protected]

About Atlas Capital Team

關於阿特拉斯資本團隊

Atlas Capital Team is a forward-looking fintech company that combines visionary economic analysis with cutting-edge investment strategies. With its mission to empower investors in building resilient portfolios suited for the challenges of the modern world, Atlas offers strategies designed to capture growth, manage risk, and adapt to ever-changing market conditions. Led by a seasoned team of financial experts, Atlas stands as a trusted partner for investors, advisors, and financial professionals seeking intelligence-driven investment solutions.

阿特拉斯資本團隊是一家前瞻性的金融科技公司,結合了富有遠見的經濟分析與尖端的投資策略。阿特拉斯的使命是幫助投資者建立適應現代世界挑戰的抗壓投資組合,提供旨在捕捉增長、管理風險並適應不斷變化的市場環境的策略。阿特拉斯由一支經驗豐富的金融專家團隊領導,是投資者、顧問和金融專業人士追求以智能爲驅動的投資解決方案的可信賴夥伴。

For more information, please visit atlascap.io

想獲取更多信息,請訪問 atlascap.io

About Goldman Sachs ETF Accelerator

關於高盛etf加速器

Goldman Sachs ETF Accelerator is a first-to-market institutional outsourced solution that enables clients to quickly and efficiently launch, list, and manage their ETFs. Services are provided across fund launch and integration into the ETF ecosystem, along with portfolio implementation and capital markets solutions. To learn more about Goldman Sachs ETF Accelerator, visit: .

高盛etf加速器是一種市場首創的機構外包解決方案,使客戶能夠快速高效地推出、上市和管理他們的etf。提供的服務涵蓋基金推出及整合進入etf生態系統,以及投資組合實施和資本市場解決方案。要了解更多關於高盛etf加速器的信息,請訪問: .

DISCLOSURES

披露

Investors should carefully consider the investment objectives, risks, charges, and expenses of the Atlas America Fund before investing. This and other information can be found in the fund's prospectus, which can be obtained by calling (855) 511-0520 or visiting . Please read the prospectus carefully before investing. Investments in exchange-traded funds (ETFs) involve risks, including the possible loss of principal.

投資者在投資阿特拉斯美國基金之前,應仔細考慮投資目標、風險、費用和支出。此信息及其他信息可以在基金的招募說明書中找到,您可以撥打(855)511-0520獲取或訪問網站。請在投資前仔細閱讀招募說明書。投資於交易所交易基金(etf)涉及風險,包括可能的本金損失。

Investing involves risk. Principal loss is possible. Price movements in gold may fluctuate quickly and dramatically, have a historically low correlation with the returns of the stock and bond markets, and may not correlate to price movements in other asset classes. The values of municipal securities held by the Fund may be adversely affected by local political and economic conditions and developments. The Fund may make significant investments in a particular segment of the municipal bond market or in the debt of issuers located in the same state or territory. A derivative instrument often has risks similar to its underlying instrument and may have additional risks, including imperfect correlation between the value of the derivative and the underlying instrument, risks of default by the counterparty to certain derivative transactions, magnification of losses incurred due to changes in the market value of the securities, instruments, indices or interest rates to which the derivative relates, and risks that the derivative instruments may not be liquid.

投資涉及風險。可能會出現本金損失。黃金價格波動可能迅速且劇烈,與股票和債券市場的回報歷史上相關性較低,並且可能與其他資產類別的價格變動無關。基金持有的市政證券的價值可能受到當地政治和經濟狀況及事態發展的不利影響。基金可能會在市政債券市場的某個特定細分市場或位於同一州或地區的發行商的債務中進行重大投資。一種衍生工具通常具有與其基礎工具相似的風險,並可能具有額外風險,包括衍生工具與基礎工具之間的不完美關聯、某些衍生交易對手方違約風險、由於市場價值變化而導致的損失放大、以及衍生工具可能沒有流動性風險。

Investments in government bonds, including sovereign bonds and quasi-sovereign bonds, involve special risks not present in corporate bonds. The small and mid-capitalization companies in which the Fund invests may be more vulnerable to adverse business or economic events than larger, more established companies, and may underperform other segments of the market or the equity market as a whole. The Fund is non- diversified, which means that it may invest in the securities of fewer issuers than a diversified Fund. Liquidity risk exists when particular investments are or become difficult or impossible to purchase or sell. The performance of a fund that is less diversified across countries or geographic regions will be closely tied to market, currency, economic, political, environmental, or regulatory conditions and developments in the country or region in which the fund invests and may be more volatile than the performance of a more geographically-diversified fund. The Fund's investments in Private Funds require it to bear a pro rata share of the vehicles' expenses, including management and performance fees.

投資於政府債券,包括主權債券和準主權債券,涉及特殊風險,這些風險在公司債券中不存在。基金投資的小型和中型公司可能比大型、成熟公司更容易受到不利商業或經濟事件的影響,並且可能表現不佳於市場的其他細分領域或整個股票市場。該基金是非多元化的,這意味着其投資的發行人數量可能少於多元化基金。當某些投資難以或無法購買或出售時,就存在流動性風險。相較於在不同國家或地域之間多元化的基金,跨國或地理區域投資較少的基金的表現將緊密與該基金投資的國家或地區的市場、貨幣、經濟、政治、環保或監管條件及發展的變化相關,並可能比地理多元化的基金表現更爲波動。基金對私募基金的投資要求其承擔相應份額的成本,包括管理費和表現費。

By investing in the Subsidiary, the Fund is indirectly exposed to the risks associated with the Subsidiary's investments. Because the Fund may invest significantly in real estate related investments, such as through REITs, private real estate investment funds, and directly in real estate, its portfolio will be significantly impacted by the performance of the real estate market and may experience more volatility and be exposed to greater risk than a fund that does not hold real-estate related investments. The Fund's investments in Private Funds require it to bear a pro rata share of the vehicles' expenses, including management and performance fees. Private Funds are not publicly traded. Accordingly, the Adviser may consider information provided by the institutional manager to determine the estimated value of the Fund's investment therein.

通過投資子公司,基金間接面臨與子公司投資相關的風險。由於基金可能會大規模投資於與房地產相關的投資,如通過信託、私募房地產投資基金,以及直接投資於房地產,因此其投資組合將受到房地產市場表現的顯著影響,可能經歷更多的波動,並暴露於比未持有房地產相關投資的基金更大的風險。基金對私募基金的投資要求它承擔相應比例的費用,包括管理費和業績費。私募基金不在公開市場交易。因此,顧問可能會考慮由機構經理提供的信息,以判斷基金在其中的投資估計價值。

ETFs are subject to additional risks that do not apply to conventional mutual funds, including the risks that the market price of an ETF's shares may trade at a premium or discount to its net asset value, an active secondary trading market may not develop or be maintained, or trading may be halted by the exchange in which they trade, which may impact an ETF's ability to sell its shares. Shares of any ETF are bought and sold at market price (not NAV) and are not individually redeemed from the ETF. Brokerage commissions will reduce returns.

etf面臨額外的風險,這些風險不適用於傳統的共同基金,包括etf股份的市場價格可能以溢價或折價交易於其淨資產價值,活躍的二級交易市場可能不會發展或維持,或者交易可能會被交易所暫停,這可能會影響etf出售其股份的能力。任何etf的股份是在市場價格(而不是淨資產價值)下買賣的,並且不會單獨從etf贖回。券商佣金將降低收益。

The Atlas America Fund is distributed by Foreside Fund Services, LLC.

Atlas America 基金由 Foreside Fund Services, LLC 分銷。

SOURCE Atlas Capital Team Inc.

來源:Atlas Capital Team Inc.

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以上內容僅用作資訊或教育之目的,不構成與富途相關的任何投資建議。富途竭力但無法保證上述全部內容的真實性、準確性和原創性。
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