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Net Asset Value Restatement for Simplify Interest Rate Hedge ETF (PFIX)

1. PFIX ETF's NAV per share has been restated as of March 11, 2025.

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FAQ

Why Neutral?

Restating NAV typically does not indicate performance changes; impacts might be mild.

How important is it?

While NAV changes are relevant, the nature of the restatement implies limited significance.

Why Short Term?

The restated NAV could affect short-term trading but unlikely to alter long-term outlook.

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NEW YORK--(BUSINESS WIRE)--Simplify announces that NAV per share of the PFIX ETF from February 25 to March 7, 2025 has been restated effective March 11, 2025.

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