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State Street Short Duration IG Public & Private Credit ETF Stock AnalysisComprehensive stock analysis for State Street Short Duration IG Public & Private Credit ETF (PRSD) including live price, Snowflake performance metrics, financial statements, and investment research.Stock AnalysisPRSD
PRSD
State Street Short Duration IG Public & Private Credit ETF
  • Company Overview
  • FRC Research
  • Financial Data
  • Peer Comparison
  • Ownership & News
PRSD
Home🔹Stocks🔹State Street Short Duration IG Public & Private Credit ETF

State Street Short Duration IG Public & Private Credit ETF

PRSD•AMEX

State Street Short Duration IG Public & Private Credit ETF

PRSD•AMEX
Market cap
$24.99M
Sentiment

Your view on PRSD

Mkt Cap
$24.99M
Sentiment
Your view
PRSD
State Street Short Duration IG Public & Private Credit ETF
  • Company Overview
  • FRC Research
  • Financial Data
  • Peer Comparison
  • Ownership & News
PRSD
Company Overview

Overview

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About State Street Short Duration IG Public & Private Credit ETF

Industry
Asset Management
Sector
Financial Services
CEO
Not available
Headquarters
US
Industry
Asset Management
Sector
Financial Services
CEO
Not available
Headquarters
US
Description

The State Street Short Duration IG Public & Private Credit ETF (PRSD) is an actively managed short-term bond fund primarily allocating to investment-grade debt securities, including both public and private credit instruments. The Fund seeks to maintain a duration between one and three years. By actively allocating across a wide range of investment-grade debt securities, PRSD seeks to maximize risk-adjusted returns alongside current income.PRSD is managed by State Street Investment Management’s Active Fixed Income Team, and the portfolio managers use a risk-aware, macroeconomic top-down approach, combined with bottom-up security selection, to construct a portfolio that seeks to overweight the most attractive sectors and issuers.PRSD may invest in private credit instruments sourced by Apollo Global Securities LLC; private credit will generally range between 10-35% of the Fund’s portfolio though it may comprise less than 10% or more than 35% of the Fund’s investment portfolio at any given time.

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