Distributed by Foreside Fund Services LLC, which is not affiliated with IDX Funds or IDX Advisors, LLC.
For more information including standard performance of the Funds, please visit the Fund page to download the fact sheet.
There are risks involved with investing including the possible loss of principal. Diversification does not guarantee investment returns or eliminate the risk of loss. Past performance does not guarantee future results.
Investors should carefully consider the investment objectives, risks, charges and expenses of the fund before investing. To obtain a prospectus containing this and other important information, please visit the Fund page to download a prospectus online or Click Here. Read the fund’s prospectus carefully before you invest. The Fund actively invests in bitcoin futures contracts and other instruments that provide exposure to bitcoin futures.
The Fund does not invest directly in or hold bitcoin. The price of bitcoin futures contracts should be expected to differ from the current cash price of bitcoin, which is sometimes referred to as the “spot” price of bitcoin. Consequently, the performance of the Fund should be expected to perform differently from the spot price of bitcoin. These differences could be significant. - Bitcoin and bitcoin futures contracts have historically been more volatile than traditional asset classes. The market for bitcoin futures may be less developed, and potentially less liquid and more volatile, than more established futures markets. While the bitcoin futures market has grown substantially since bitcoin futures commenced trading, there can be no assurance that this growth will continue. Given the complexity of the strategies of the Fund, the Adviser relies heavily on quantitative models and information and data both proprietary as well as supplied by third parties (“Models and Data”). Models and Data are used to rank investments and provide risk management insights. The use of predictive models has inherent risks. Investing in derivatives, including bitcoin futures contracts, may be considered aggressive and may expose the Fund to significant risks. The Fund may incur high portfolio turnover to manage the Fund’s investment exposure. The fund is non-diversified and can invest a high percentage of assets in a small number of issuers which may increase volatility and risk versus a diversified portfolio. Volatility is a measure of the variation of the level/ price of an asset over time as generally expressed as the annualized standard deviation of daily returns. Drawdown refers to the percentage decline in asset value from its all time high. - Enfold Theme by Kriesi