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Effective URL: https://www.defianceetfs.com/fivg/
Submission: On March 10 via api from CH — Scanned from DE
Effective URL: https://www.defianceetfs.com/fivg/
Submission: On March 10 via api from CH — Scanned from DE
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___ Auf dieser Website werden Daten wie Cookies gespeichert, um wichtige Funktionen der Website sowie Marketing, Personalisierung und Analyse zu ermöglichen. Sie können Ihre Einstellungen jederzeit ändern oder die Standardeinstellungen übernehmen. Datenschutz-Bestimmungen * Marketing * Personalisierung * Analysen Speichern Alle akzeptieren $FIVG * ETFs * FIVG The First 5G ETF * QTUM Quantum Computing ETF * SPAK The First SPAC ETF * HDRO The Hydrogen ETF * PSY Psychedelics ETF * CRUZ The Travel Reopening Trade * BIGY Big Data and Analytics ETF * NFTZ Defiance Digital Revolution ETF * Home * ETFs FIVG The First 5G ETF QTUM Quantum Computing ETF SPAK The First SPAC ETF HDRO The Hydrogen ETF PSY Psychedelics ETF CRUZ The Travel Reopening Trade BIGY Big Data and Analytics ETF NFTZ Defiance Digital Revolution ETF * About us * Insights * News * Contact us Invest Fund details Performance Fund documents Reasons to invest FAQ Your browser does not support HTML5 video. FIVG $35.90(-1.41%) THE FIRST 5G ETF Type of Investor?* Type of Investor?ProfessionalIndividual Type of Investor? Professional Individual Email* No spam. We promise UNPRECEDENTED CONNECTIVITY Autonomous driving, Edge computing, Internet of Things, Remote Medicine. 5G tech will transform how we live, work and pursue leisure. Our 5G ETF gives you exposure to the dynamic potential of the 5G space. Read more FIVG offers investors liquid, transparent and low-cost* access to 5G stocks – companies engaged in the research and development or commercialization of systems and materials used in 5G communications. The underlying Index tracks approximately 90 globally-listed stocks across all market capitalizations. FIVG TARGETS 5G STOCKS The BlueStar 5G Communications Index is a rules based index that tracks the performance of a group of US-listed stocks, of global companies that are involved in the development of, or are otherwise instrumental in the rollout of 5G networks. These securities are part of the following categories: core carrier grade networking equipment including cellular antennas and routers, mobile network operators, satellite-based communications, enhanced mobile broadband chips, new radio technology, wireless network test and optimization equipment, cloud computing equipment, software defined networking or network functions virtualization, fiber optic cables, or cell tower and/or data center real estate investment trusts. — *Commissions may be charged on trades. FUND DATA AND PRICING Net Assets $1 120.68M Premium/discount -0.10% NAV $36.44 Closing Price $36.41 Shares Outstanding 30,750,000 Median 30 Day Spread 0.08% Data as of 03/09/2022 FUND DETAILS Fund inception 03/04/19 Ticker FIVG Primary Exchange NYSE CUSIP 26922A289 Fund Holdings 88 NAV Symbol FIVG.NV Expense Ratio 0.30% 30 Day SEC Yield* 1.31% * Yield as of 2.28.22 FIVGMARKET PRICE 1M 3M 6M 1Y CUMULATIVE AVERAGE ANNUAL CALENDAR YEAR as of 02/28/2022 02-28-2022 01-31-2022 12-31-2021 11-30-2021 10-31-2021 09-30-2021 08-31-2021 07-31-2021 06-30-2021 05-31-2021 04-30-2021 03-31-2021 02-28-2021 01-31-2021 12-31-2020 11-30-2020 10-31-2020 09-30-2020 08-31-2020 07-31-2020 06-30-2020 05-31-2020 04-30-2020 03-31-2020 02-29-2020 01-31-2020 12-31-2019 11-30-2019 10-31-2019 09-30-2019 08-31-2019 07-31-2019 06-30-2019 05-31-2019 04-30-2019 03-31-2019 YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) -9.40% -1.54% -5.59% -1.46% 10.75% xx.xx% 56.03% Market Price (%) -9.45% -1.51% -5.56% -1.49% 10.66% xx.xx% 56.00% 1 Year Since Inception Total Return (%) 10.75% 16.05% Market Price (%) 10.66% 16.04% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) -7.98% -7.98% 1.82% 0.52% 12.06% xx.xx% 58.47% Market Price (%) -8.06% -8.06% 1.74% 0.49% 12.04% xx.xx% 58.40% 1 Year Since Inception Total Return (%) 12.06% 17.13% Market Price (%) 12.04% 17.11% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) 25.63% 4.20% 15.42% 10.47% 25.63% xx.xx% 72.21% Market Price (%) 25.66% 4.30% 15.44% 10.44% 25.66% xx.xx% 72.28% 1 Year Since Inception Total Return (%) 25.63% 21.20% Market Price (%) 25.66% 21.21% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) 20.56% 6.19% 4.38% 9.77% 25.83% xx.xx% 65.27% Market Price (%) 20.49% 6.10% 4.30% 9.68% 25.60% xx.xx% 65.18% 1 Year Since Inception Total Return (%) 25.83% 20.10% Market Price (%) 25.60% 20.08% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) 13.54% 4.31% -1.28% 5.58% 34.99% xx.xx% 55.64% Market Price (%) 13.56% 4.32% -1.23% 5.53% 35.05% xx.xx% 55.69% 1 Year Since Inception Total Return (%) 34.99% 18.09% Market Price (%) 35.05% 18.11% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) 8.84% -5.77% -4.29% 3.78% 28.86% xx.xx% 49.21% Market Price (%) 8.86% -5.76% -4.33% 3.71% 28.81% xx.xx% 49.24% 1 Year Since Inception Total Return (%) 28.86% 16.81% Market Price (%) 28.81% 16.82% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) 15.50% 0.43% 5.17% 12.39% 31.67% xx.xx% 58.33% Market Price (%) 15.52% 0.47% 5.16% 12.34% 31.64% xx.xx% 58.36% 1 Year Since Inception Total Return (%) 31.67% 20.24% Market Price (%) 31.64% 20.25% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) 15.01% 1.13% 6.95% 11.48% 33.26% xx.xx% 57.66% Market Price (%) 14.98% 1.05% 6.84% 11.49% 33.23% xx.xx% 57.63% 1 Year Since Inception Total Return (%) 33.26% 20.81% Market Price (%) 33.23% 20.80% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) 13.72% 3.55% 8.43% 13.72% 40.98% xx.xx% 55.89% Market Price (%) 13.78% 3.58% 8.40% 13.78% 41.03% xx.xx% 55.99% 1 Year Since Inception Total Return (%) 40.98% 21.06% Market Price (%) 41.03% 21.09% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) 9.83% 2.13% 6.87% 14.63% 41.17% xx.xx% 50.56% Market Price (%) 9.85% 2.08% 6.83% 14.51% 41.00% xx.xx% 50.60% 1 Year Since Inception Total Return (%) 41.17% 20.03% Market Price (%) 41.00% 20.05% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) 7.54% 2.54% 4.24% 27.86% 45.74% xx.xx% 47.41% Market Price (%) 7.62% 2.53% 4.35% 27.97% 45.68% xx.xx% 47.53% 1 Year Since Inception Total Return (%) 45.74% 19.72% Market Price (%) 45.68% 19.76% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) 4.88% 2.05% 4.88% 24.16% 62.76% xx.xx% 43.77% Market Price (%) 4.96% 2.08% 4.96% 24.20% 63.41% xx.xx% 43.90% 1 Year Since Inception Total Return (%) 62.76% 19.13% Market Price (%) 63.41% 19.18% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) 2.77% -0.38% 7.27% 17.16% 44.87% xx.xx% 40.88% Market Price (%) 2.83% -0.29% 7.19% 17.18% 44.67% xx.xx% 40.97% 1 Year Since Inception Total Return (%) 44.87% 18.81% Market Price (%) 44.67% 18.84% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) 3.17% 3.17% 22.66% 19.54% 38.43% xx.xx% 41.42% Market Price (%) 3.12% 3.12% 22.63% 19.49% 38.28% xx.xx% 41.38% 1 Year Since Inception Total Return (%) 38.43% 19.87% Market Price (%) 38.28% 19.85% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) 29.77% 4.37% 18.39% 23.97% 29.77% xx.xx% 37.08% Market Price (%) 29.74% 4.24% 18.33% 23.95% 29.74% xx.xx% 37.09% 1 Year Since Inception Total Return (%) 29.77% 18.84% Market Price (%) 29.74% 18.84% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) 24.33% 13.92% 9.22% 23.15% 31.36% xx.xx% 31.34% Market Price (%) 24.47% 14.08% 9.32% 23.14% 31.27% xx.xx% 31.52% 1 Year Since Inception Total Return (%) 31.36% 16.94% Market Price (%) 31.27% 17.03% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) 9.15% -0.43% -2.54% 13.99% 16.96% xx.xx% 15.30% Market Price (%) 9.10% -0.49% -2.56% 13.84% 16.80% xx.xx% 15.29% 1 Year Since Inception Total Return (%) 16.96% 8.95% Market Price (%) 16.80% 8.95% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) 9.61% -3.71% 4.72% 31.08% 17.65% xx.xx% 15.79% Market Price (%) 9.64% -3.69% 4.75% 31.57% 17.72% xx.xx% 15.86% 1 Year Since Inception Total Return (%) 17.65% 9.75% Market Price (%) 17.72% 9.79% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) 13.83% 1.64% 12.75% 23.66% 26.54% xx.xx% 20.25% Market Price (%) 13.85% 1.68% 12.63% 23.46% 26.63% xx.xx% 20.30% 1 Year Since Inception Total Return (%) 26.54% 13.14% Market Price (%) 26.63% 13.18% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) 11.99% 6.99% 16.96% 15.80% 19.32% xx.xx% 18.30% Market Price (%) 11.97% 6.97% 16.83% 15.72% 19.15% xx.xx% 18.31% 1 Year Since Inception Total Return (%) 19.32% 12.68% Market Price (%) 19.15% 12.68% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) 4.68% 3.68% 25.18% 4.68% 14.96% xx.xx% 10.58% Market Price (%) 4.67% 3.56% 25.61% 4.67% 15.06% xx.xx% 10.61% 1 Year Since Inception Total Return (%) 14.96% 7.89% Market Price (%) 15.06% 7.92% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) 0.96% 5.44% 9.67% 6.66% 18.88% xx.xx% 6.65% Market Price (%) 1.08% 5.47% 9.61% 6.60% 19.15% xx.xx% 6.81% 1 Year Since Inception Total Return (%) 18.88% 5.32% Market Price (%) 19.15% 5.45% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) -4.25% 14.51% -1.00% 2.61% -1.68% xx.xx% 1.15% Market Price (%) -4.16% 15.01% -0.95% 2.60% -1.56% xx.xx% 1.27% 1 Year Since Inception Total Return (%) -1.68% 0.99% Market Price (%) -1.56% 1.10% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) -16.38% -9.17% -16.38% -10.25% -9.90% xx.xx% -11.67% Market Price (%) -16.67% -9.63% -16.67% -10.53% -10.29% xx.xx% -11.94% 1 Year Since Inception Total Return (%) -9.90% -10.91% Market Price (%) -10.29% -11.17% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) -7.94% -4.81% -2.74% 2.33% xx.xx% xx.xx% -2.75% Market Price (%) -7.78% -4.69% -2.74% 2.57% xx.xx% xx.xx% -2.56% 1 Year Since Inception Total Return (%) xx.xx% xx.xx% Market Price (%) xx.xx% xx.xx% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) -3.29% -3.29% 3.64% 3.05% xx.xx% xx.xx% 2.16% Market Price (%) -3.24% -3.24% 3.58% 2.97% xx.xx% xx.xx% 2.24% 1 Year Since Inception Total Return (%) xx.xx% xx.xx% Market Price (%) xx.xx% xx.xx% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) xx.xx% 5.65% 7.33% 9.82% xx.xx% xx.xx% 5.64% Market Price (%) xx.xx% 5.47% 7.36% 9.93% xx.xx% xx.xx% 5.67% 1 Year Since Inception Total Return (%) xx.xx% xx.xx% Market Price (%) xx.xx% xx.xx% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) xx.xx% 1.43% 5.21% 11.45% xx.xx% xx.xx% -0.02% Market Price (%) xx.xx% 1.51% 5.46% 11.77% xx.xx% xx.xx% 0.19% 1 Year Since Inception Total Return (%) xx.xx% xx.xx% Market Price (%) xx.xx% xx.xx% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) xx.xx% 0.16% -0.57% -4.18% xx.xx% xx.xx% -1.42% Market Price (%) xx.xx% 0.29% -0.60% -4.06% xx.xx% xx.xx% -1.30% 1 Year Since Inception Total Return (%) xx.xx% xx.xx% Market Price (%) xx.xx% xx.xx% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) xx.xx% 3.56% 2.32% 0.38% xx.xx% xx.xx% -1.58% Market Price (%) xx.xx% 3.60% 2.39% 0.27% xx.xx% xx.xx% -1.58% 1 Year Since Inception Total Return (%) xx.xx% xx.xx% Market Price (%) xx.xx% xx.xx% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) xx.xx% -4.15% 5.93% xx.xx% xx.xx% xx.xx% -4.97% Market Price (%) xx.xx% -4.32% 5.98% xx.xx% xx.xx% xx.xx% -5.00% 1 Year Since Inception Total Return (%) xx.xx% xx.xx% Market Price (%) xx.xx% xx.xx% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) xx.xx% 3.08% -3.63% xx.xx% xx.xx% xx.xx% -0.85% Market Price (%) xx.xx% 3.30% -3.49% xx.xx% xx.xx% xx.xx% -0.71% 1 Year Since Inception Total Return (%) xx.xx% xx.xx% Market Price (%) xx.xx% xx.xx% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) xx.xx% 7.22% -1.89% xx.xx% xx.xx% xx.xx% -3.81% Market Price (%) xx.xx% 7.24% -2.07% xx.xx% xx.xx% xx.xx% -3.87% 1 Year Since Inception Total Return (%) xx.xx% xx.xx% Market Price (%) xx.xx% xx.xx% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) xx.xx% -12.80% xx.xx% xx.xx% xx.xx% xx.xx% -10.29% Market Price (%) xx.xx% -12.87% xx.xx% xx.xx% xx.xx% xx.xx% -10.36% 1 Year Since Inception Total Return (%) xx.xx% xx.xx% Market Price (%) xx.xx% xx.xx% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) xx.xx% 4.93% xx.xx% xx.xx% xx.xx% xx.xx% 2.88% Market Price (%) xx.xx% 4.81% xx.xx% xx.xx% xx.xx% xx.xx% 2.88% 1 Year Since Inception Total Return (%) xx.xx% xx.xx% Market Price (%) xx.xx% xx.xx% YTD 1 Months 3 Months 6 Months 1 Year 3 Years Since Inception Total Return (%) xx.xx% xx.xx% xx.xx% xx.xx% xx.xx% xx.xx% -1.96% Market Price (%) xx.xx% xx.xx% xx.xx% xx.xx% xx.xx% xx.xx% -1.84% 1 Year Since Inception Total Return (%) xx.xx% xx.xx% Market Price (%) xx.xx% xx.xx% 2020 2021 Total Return (%) 29.77% 25.63% Market Price (%) 29.74% 25.66% The performance data quoted represents past performance. Past performance does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than their original cost and current performance may be lower or higher than the performance quoted. Performance current to the most recent month-end can be obtained by calling 833.333.9383. Short term performance, in particular, is not a good indication of the fund’s future performance, and an investment should not be made based solely on returns. Market price is the price at which shares in the ETF can be brought or sold on the exchanges during trading hours, while the net asset value (NAV) represents the value of each share’s portion of the fund’s underlying assets and cash at the end of the trading day. TOP HOLDINGS View full holdings Name Symbol Stock price % Price change % Net assets Shares Held Market Value Advanced Micro Devices Inc AMD $105.84 -4.72% 7.36% 738,945 82,059,842 Qualcomm Inc QCOM $153.04 -2.62% 4.84% 343,877 54,026,515 Analog Devices Inc ADI $150.62 -1.93% 4.64% 337,176 51,796,977 Verizon Communications Inc VZ $53.13 0.09% 3.55% 746,287 39,612,914 At&t Inc T $23.07 -0.86% 3.39% 1,626,231 37,826,133 NXP Semiconductors N V NXPI $178.94 -2.47% 3.14% 190,964 35,013,249 Akamai Technologies Inc AKAM $108.29 -0.93% 2.99% 305,249 33,327,086 Marvell Technology Inc MRVL $65.92 -0.92% 2.95% 493,728 32,857,598 American Tower Corp AMT $229.64 -1.50% 2.86% 136,598 31,842,360 T T-mobile Us Inc TMUS $121.71 -0.23% 2.73% 249,915 30,479,633 Data as of 03/10/2022. Fund holdings are subject to change at any time and should not be considered recommendations to buy or sell any security. View full holdings Download Fund Documents Investment Case Fact Sheet Index Methodology Guide Prospectus Summary Prospectus SAI Annual Report Semi-Annual Report Premium Discount Graph Q1 Quarterly Holdings Q3 Quarterly Holdings See distribution table View full holdings DISTRIBUTION Ex-Date Total Distribution Short-Term Capital Gains Long-Term Capital Gains 06/24/2019 $0.06065174 – – 09/17/2019 $0.07355066 – – 12/26/2021 $0.06157888 – – 03/24/2020 $0.05276234 – – 06/23/2020 $0.09867639 – – 09/22/2021 $0.08160012 – – 12/29/2020 $0.10044212 – – 03/24/2021 $0.05792482 – – 06/23/2021 $0.11704932 – – 09/22/2021 $0.08687632 – – 12/29/2021 $0.22687772 – – Distribution Schedule REASONS TO INVEST IN FIVG Invest in FIVG NEXT GEN DIGITAL TRANSFORMATION. Our 5G ETF captures the full range of 5G tech that will support billions of devices connected, communicating and harmonizing the processes of life. EMPOWERING THE EDGE. Edge computing brings processing power and data storage closer to the devices. It improves response times, saves bandwidth and promotes seamless connectivity. SMART CITIES, SMART DRIVING, SMART HEALTHCARE. Connected sensors monitoring all aspects of life will ensure efficiency, safety, and coordination. VIRTUAL / AUGMENTED REALITY. 5G’s super fast speeds and low latency will empower the seamless integration of VR/AR into life, industry, work and leisure. FIVG FAQs When did the Defiance FIVG ETF launch? FIVG launched on March 4, 2019. Why did Defiance launch a 5G ETF? Smart driving, smart cities, the Internet of Things – billions of devices connected, coordinating and communicating. 5G is the technology that lies behind these disruptive potential developments. It is set to bring unprecedented connectivity at unparalleled speeds, with very low latency (the time for data to travel between two points). The combined effect of this new technology could support transformations work practices and production in industry, healthcare, transportation and manufacturing, gaming, retail, business and education. At Defiance we launched FIVG to offer the forward-looking next gen investor exposure to the companies propelling the 5G future. Where can I buy the Defiance FIVG ETF? FIVG can be purchased through most self-directed broker dealers, or a financial advisor who you may already be working with. What is Defiance FIVG ETF’s expense ratio? FIVG’s expense ratio is 0.30% Where is the Defiance FIVG ETF traded? FIVG is traded on the New York Stock Exchange. Who maintains the Defiance FIVG ETF index? FIVG seeks to track the composition of the BlueStar 5G Communications Index. This is maintained by the BlueStar Indexes company. What types of companies are in the Defiance FIVG ETF? FIVG includes US-listed publicly-traded common equity securities of global companies that are involved in the development of, or are otherwise instrumental in the rollout of 5G networks. These securities are part of the following categories: core carrier grade networking equipment including cellular antennas and routers, mobile network operators, satellite-based communications, enhanced mobile broadband chips, new radio technology, wireless network test and optimization equipment, cloud computing equipment, software defined networking or network functions virtualization, fiber optic cables, or cell tower and/or data center real estate investment trusts. Companies must have a maximum average bid-ask-spread of 1% and a minimum free-float percentage of 10%. Mobile network operators and real estate investment trusts must have a float-adjusted market capitalization of at least $1 billion, all other companies must have a float adjusted market capitalization of at least $150 million USD. In addition, all companies must have a six-month average daily value traded of $250,000 or greater. Index constituents are reviewed semi-annually for eligibility, and weights are re-set according to a tiered market capitalization weighting strategy. They include the giants propelling the 5G rollout, including Verizon, AT&T, Samsung, Nokia, Ericsson, Qualcomm, Skyworks Solutions, Cisco, Broadcom and Xilinix. Latest Insights See all What can Reddit stocks tell you about investing in NFTs? Mar 8, 2022 SPAC companies riding the 2021 SPAC wave Mar 2, 2022 Are NFTs just another celebrity-fueled trend? Feb 28, 2022 How virtual real estate is building on the boom in NFTs Feb 25, 2022 Sign up to receive updates First name Last name Email* No spam. We promise * About us * Careers * Contact * FAQs * Privacy * Insights * Thematic ETFs * News * SPAC Research Important Disclosures: Fund holdings and sector allocations are subject to change at any time and should not be considered recommendations to buy or sell any security. The Funds' investment objectives, risks, charges, and expenses must be considered carefully before investing. The prospectus contain this and other important information about the investment company. Please read carefully before investing. A hard copy of the prospectuses can be requested by calling 833.333.9383. Investing involves risk. Principal loss is possible. As an ETF, the funds may trade at a premium or discount to NAV. Shares of any ETF are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. The Funds are not actively managed and would not sell a security due to current or projected under performance unless that security is removed from the Index or is required upon a reconstitution of the Index. A portfolio concentrated in a single industry or country, may be subject to a higher degree of risk. The value of stocks of information technology companies are particularly vulnerable to rapid changes in technology product cycles, rapid product obsolescence, government regulation and competition. The Funds are considered to be non-diversified, so they may invest more of its assets in the securities of a single issuer or a smaller number of issuers. Investments in foreign securities involve certain risks including risk of loss due to foreign currency fluctuations or to political or economic instability. This risk is magnified in emerging markets. Small and mid-cap companies are subject to greater and more unpredictable price changes than securities of large-cap companies. The possible applications of 5G technologies are only in the exploration stages, and the possibility of returns is uncertain and may not be realized in the near future. The “BlueStar 5G Communications Index™”, “BFIVGTR™ Index” (collectively “5G Communications Index"), is the exclusive property and a trademark of BlueStar Global Investors LLC d/b/a BlueStar Indexes® and has been licensed for use for certain purposes by Defiance ETFs LLC. Products based on the Global 5G Communications Index* are not sponsored, endorsed, sold or promoted by BlueStar Global Investors, LLC or BlueStar Indexes®, and BlueStar Global Investors, LLC and BlueStar Indexes® makes no representation regarding the advisability of trading in such product(s).It is not possible to invest directly in an index. The Defiance Next Gen Connectivity ETF is the first ETF to emphasize securities whose products and services are predominantly tied to the development of 5G networking and communication technologies. The fund does this by tracking The BlueStar 5G Communications Index. The Fund attempts to invest all, or substantially all, of its assets in the component securities that make up the Index. Total return represents changes to the NAV and accounts for distributions from the fund. Median 30 Day Spread is a calculation of Fund’s median bid-ask spread, expressed as a percentage rounded to the nearest hundredth, computed by: identifying the Fund’s national best bid and national best offer as of the end of each 10 second interval during each trading day of the last 30 calendar days; dividing the difference between each such bid and offer by the midpoint of the national best bid and national best offer; and identifying the median of those values. Diversification does not ensure a profit nor protect against loss in a declining market. Commissions may be charged on trades. FIVG is distributed by Foreside Fund Services, LLC. 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