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.
1. PFIX ETF's NAV per share has been restated as of March 11, 2025.
Restating NAV typically does not indicate performance changes; impacts might be mild.
While NAV changes are relevant, the nature of the restatement implies limited significance.
The restated NAV could affect short-term trading but unlikely to alter long-term outlook.