ETF Foundry
DRAFT — HYPOTHETICAL MODEL PORTFOLIO — NOT A REGISTERED FUND, NOT AN OFFER TO SELL SECURITIES, NOT INVESTMENT ADVICE.

Fact Sheet · Draft

Foundry Book-to-Market Value Industry-Neutral Factor ETF

FBMR · ETF Foundry Research (hypothetical) · Generated 2026-09-12 · Holdings as of July 2026

Investment Objective

The Fund seeks long-term capital appreciation by tracking a rules-based Book-to-Market Value factor model, before the placeholder expense ratio and trading costs.

Key Facts

ItemValue
Ticker (pseudo)FBMR
CUSIPNot applicable (hypothetical model portfolio)
Listing exchangeNot listed (hypothetical)
Underlying modelBook-to-Market Value factor (Industry-relative (FF48))
Placeholder expense ratio0.35%
Placeholder inception date2022-10-22
Number of holdings (long leg)225
WeightingCap-weighted
Rebalance frequencyMonthly
Holdings as ofJuly 2026

Performance

The following performance is HYPOTHETICAL and BACKTESTED — it was calculated by applying the model to historical data with the benefit of hindsight, is gross of the placeholder expense ratio and trading costs, and does not represent the results of any actual account. Past (hypothetical) performance does not guarantee or predict future results.

Hypothetical Calendar-Year Total Returns (long-short backtest)

YearHypothetical Total Return
2017-6.57%
2018-17.76%
2019-1.15%
2020-13.66%
202115.61%
202214.34%
2023-13.61%
2024-19.62%
202521.56%
20269.08%

Average Annual Total Returns (hypothetical, as of the most recent sample month)

PeriodHypothetical Avg. Annual Total Return
1 Year30.39%
3 Years2.81%
5 Years-0.29%
10 Years0.07%
Since Model Inception (full sample)2.67%

Top 10 Holdings (of 225)

#TickerCompanySectorWeightMarket Value
1SWSMURFIT WESTROCK PLCConsumer Cyclical5.79%$5,790,108
2LENLENNAR CORPConsumer Cyclical5.04%$5,036,222
3NLYANNALY CAPITAL MANAGEMENT INCReal Estate4.20%$4,201,989
4CDECOEUR MINING INCBasic Materials3.70%$3,699,581
5SMCISUPER MICRO COMPUTER INCTechnology3.62%$3,624,095
6UHALU-HAUL HOLDING COIndustrials3.48%$3,484,063
7ARCCARES CAPITAL CORPFinancial Services3.43%$3,430,259
8AGNCAGNC INVESTMENT CORPReal Estate3.21%$3,209,782
9AREALEXANDRIA REAL ESTATE EQUITIES INCReal Estate2.18%$2,181,041
10REXRREXFORD INDUSTRIAL REALTY INCReal Estate2.11%$2,107,175

Sector Allocation

SectorWeight# Holdings
Real Estate33.47%61
Consumer Cyclical21.45%28
Financial Services11.42%36
Technology9.70%24
Basic Materials6.66%13
Industrials5.96%25
Healthcare3.88%20
Communication Services2.53%5
Consumer Defensive2.45%8
Energy2.21%4
Utilities0.28%1

Portfolio Characteristics (hypothetical)

CharacteristicValue
Sharpe ratio (full sample)0.24
Annualized volatility15.95%
Maximum drawdown-53.06%
Average monthly turnover15.05%
Out-of-sample Sharpe (2019-26)0.12

DRAFT — HYPOTHETICAL MODEL PORTFOLIO — NOT A REGISTERED FUND, NOT AN OFFER TO SELL SECURITIES, NOT INVESTMENT ADVICE.

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