OneAscent International Equity ETF company info

What does OneAscent International Equity ETF do?
OneAscent International Equity ETF (NYSE:OAIE) focuses on providing investors with exposure to a diverse portfolio of international equity securities. The fund aims to invest in companies outside of the United States, targeting those that align with its values-based investment strategy. OAIE seeks to achieve long-term capital growth by carefully selecting equities that demonstrate strong fundamentals and ethical business practices. The ETF's objectives are to offer investors the potential for portfolio diversification beyond domestic markets and to identify and capitalize on international investment opportunities that meet its ethical and financial criteria. Through its investments, OneAscent International Equity ETF strives to deliver competitive returns while adhering to principles of responsible investing.
OneAscent International Equity ETF company media
Company Snapshot

Is OneAscent International Equity ETF a public or private company?

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Ownership
Public

How many people does OneAscent International Equity ETF employ?

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Employees
9

What sector is OneAscent International Equity ETF in?

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Sector
ETF

Where is the head office for OneAscent International Equity ETF?

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Head Office
Birmingham, United States

What year was OneAscent International Equity ETF founded?

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Year Founded
2022
What does OneAscent International Equity ETF specialise in?
/International Investments /Equity ETF /Portfolio Diversification /Market Exposure /Risk Management /Financial Services

What are the products and/or services of OneAscent International Equity ETF?

Overview of OneAscent International Equity ETF offerings
Global Sustainable Investments - Focus on incorporating ethical and sustainable international companies.
Faith-based Screening - Applying faith-consistent investment principles to portfolios.
ESG Integration - Including environmental, social, and governance criteria for selecting investments.
Diverse Equity Exposure - Providing access to a broad range of sectors and regions globally.
Active Portfolio Management - Actively refined investments to align with changing market conditions.
Risk Management - Implementing strategies to mitigate risk and protect investments.