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Simplify Interest Rate Hedge ETF

Ticker: PFIX ISIN: US82889N8552
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ETF
TER
0.50%
Fund size
$11.11M
Holdings
50
Top 10
25.4%
Issuer
SoFi
$52.03 -2.36%
Price as of 2026-08-24 · NYSE ARCA

Performance by timeframe

Rolling returns
1 Month +8.94%
6 Months +23.44%
1 Year +3.02%
5 Years +23.48% p.a.+186.91%
Since inception +17.05% p.a.+129.84%
Calendar year returns
YTD +10.24%
2025 +0.69%
2024 +35.94%
2023 +5.67%
2022 +92.05%

Key stats

AUM
11.11M
Expense ratio
0.50%
Holdings
50
1Y return
3.02%
Volatility (1Y)
29.79%
52-week range
40.69 - 53.85
Section 1

Fund overview

Fund profile data from fundamentals.

The adviser seeks to achieve the fund"s investment objective by allocating the fund"s assets approximately equally between: interest rate related derivatives and interest income producing debt instruments. The adviser seeks to achieve the interest rate hedging aspect of the fund"s investment objective by investing in swaptions, interest rate options, and Treasury futures. The fund is non-diversified.

Category Global Large-Stock Value
Issuer SoFi
Domicile USA
Section 2

Exposure breakdown

Exposure breakdown shows how the fund is allocated across assets, sectors, regions, and size buckets.

Asset allocation

Stock US
52.46%
Stock non-US
46.98%
Cash
0.32%
Other
0.24%

Sectors

Financial Services
27.71%
Industrials
14.97%
Energy
10.78%
Healthcare
8.84%
Technology
8.59%
Consumer Defensive
7.56%
Consumer Cyclicals
6.26%
Utilities
5.08%

Regions

North America
58.78%
Europe Developed
19.39%
Japan
11.48%
United Kingdom
4.47%
Australasia
3.33%
Asia Developed
2.33%
Africa/Middle East
0.12%
Europe Emerging
0.07%

Market cap mix

Mega
45.62%
Big
39.19%
Medium
14.60%
Small
0.02%
Section 3

Top holdings

Top holdings show which underlying securities drive the fund most.

JPMorgan Chase & Co
3.90%
Broadcom Inc
3.86%
Exxon Mobil Corp.
3.19%
Johnson & Johnson
2.83%
Procter & Gamble Company
2.82%
Chevron Corp
2.06%
Toyota Motor Corp
1.97%
Bank of America Corp
1.73%
Novartis AG
1.56%
Cisco Systems Inc
1.48%
Section 4

Performance & risk

Historical return and risk indicators over fixed windows.

Returns

YTD return 1.63%
1M return 8.94%
6M return 23.44%
1Y return 3.02%
3Y return 0.00%
5Y return 186.91%
10Y return 0.00%

Risk

Volatility (1Y) 29.79%
Volatility (3Y) 0.00%
Sharpe ratio (3Y) 0.00
Beta -6.03
52-week range 40.69 - 53.85
Section 5

Portfolio characteristics

Fund concentration and composition metrics from source fields.

Overview

Holdings count 50
Top 10 weight 25.39%
Expense ratio 0.50%
Fund size 11.11M
Turnover 1.24%
Avg. market cap 86.22K

Details

Instrument metadata and source update timestamps.

Symbol PFIX
Name Simplify Interest Rate Hedge ETF
Asset type ETF
Exchange NYSE ARCA
Currency USD
ISIN US82889N8552
Country USA
Code + exchange PFIX.NYSE ARCA
Last price date 2026-08-14
Fundamentals updated 2026-08-17

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