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現在,我們專門為最新的T-REX ETF 提供選擇權:針對經驗豐富的交易者的T-REX 2X 多頭比特幣每日目標ETF (BTCL) 和T-REX 2X 反向比特幣每日目標ETF (BTCZ )。
MIAMI–(BUSINESS WIRE)–REX Shares & Tuttle Capital Management (“T-REX”) are excited to announce a groundbreaking development for our trading ETF lineup. Options are now available exclusively for our newest T-REX ETFs: the T-REX 2X Long Bitcoin Daily Target ETF (BTCL) and the T-REX 2X Inverse Bitcoin Daily Target ETF (BTCZ) for sophisticated traders. We believe this enhancement provides an unparalleled avenue for Bitcoin enthusiasts to engage in the market with greater flexibility and strategic depth.
邁阿密-(美國商業資訊)-REX Shares 和 Tuttle Capital Management (“T-REX”) 很高興地宣布我們的交易 ETF 系列取得了突破性進展。現在,我們最新的T-REX ETF 專屬選擇權:針對經驗豐富的交易者的T-REX 2X 多頭比特幣每日目標ETF (BTCL) 和T-REX 2X 反向比特幣每日目標ETF (BTCZ) 。我們相信,這項增強功能為比特幣愛好者提供了無與倫比的途徑,以更大的靈活性和策略深度參與市場。
Our 2X Long Bitcoin Daily Target ETF (BTCL) is designed for traders who are bullish on Bitcoin, offering them the opportunity to amplify their daily returns. Conversely, our 2X Inverse Bitcoin ETF (BTCZ) caters to those who seek to profit from a decline in Bitcoin prices, enabling sophisticated strategies in both rising and falling markets.
我們的 2 倍多頭比特幣每日目標 ETF (BTCL) 專為看漲比特幣的交易者而設計,為他們提供放大每日回報的機會。相反,我們的 2X 反向比特幣 ETF (BTCZ) 迎合了那些尋求從比特幣價格下跌中獲利的人,在上漲和下跌的市場中啟用複雜的策略。
For more information about BTCL or BTCZ, please go to https://www.rexshares.com/t-rex-leveraged-etfs/
有關BTCL或BTCZ的更多信息,請訪問https://www.rexshares.com/t-rex-leveraging-etfs/
A Note to Our Community
給我們社區的一封信
With the introduction of options trading exclusively for T-REX leveraged and inverse Bitcoin Daily target ETFs, we anticipate a surge in interest from our trading community, particularly among Bitcoin enthusiasts. We strongly encourage all traders to approach this exclusive offering with diligence, ensuring they are well-informed about the unique characteristics and risks associated with trading options for these specialized ETFs.
隨著專門針對 T-REX 槓桿和反向比特幣每日目標 ETF 的選擇權交易的推出,我們預計我們的交易社區,尤其是比特幣愛好者的興趣將會激增。我們強烈鼓勵所有交易者認真對待這款獨家產品,確保他們充分了解與這些專業 ETF 交易選項相關的獨特特徵和風險。
About REX Financial:
關於REX金融:
REX Financial is an innovative ETP provider specializing in alternative-strategy ETFs and ETNs, with over $6 billion in assets under management. The REX Financial brand encompasses REX Shares, T-REX, MicroSectorsTM, and REX Advisers. The firm is renowned for creating MicroSectorsTM and co-creating the T-REX product lines of leveraged and inverse tools for traders and recently launched a series of option-based income strategies.
REX Financial 是一家創新 ETP 供應商,專注於另類策略 ETF 和 ETN,管理的資產超過 60 億美元。 REX Financial 品牌包括 REX Shares、T-REX、MicroSectorsTM 和 REX Advisers。該公司因創建 MicroSectorsTM 並為交易者共同創建槓桿和反向工具 T-REX 產品線而聞名,並於最近推出了一系列基於期權的收益策略。
About Tuttle Capital Management
關於塔特爾資本管理公司
Tuttle Capital Management is an industry leader in offering thematic and actively managed ETFs. TCM utilizes informed agility when managing portfolios, an approach that, from an informed standpoint, can assess and blend effective elements from multiple investment styles, and, from a position of agility, aims to stay in harmony with market trends without being too passive or too active. Please visit www.tuttlecap.com for more information.
Tuttle Capital Management 是提供主題型和主動式管理 ETF 的產業領導者。 TCM在管理投資組合時利用知情敏捷性,這種方法從知情的角度來看,可以評估和整合多種投資風格的有效要素,並且從敏捷性的角度來看,旨在與市場趨勢保持一致,但又不會過於被動或過度。請造訪 www.tuttlecap.com 以了解更多資訊。
IMPORTANT INFORMATION ABOUT PERFORMANCE DISCLOSURE
有關業績披露的重要信息
Important Information
重要訊息
Investors should consider the investment objectives, risk, charges, and expenses carefully before investing. For a prospectus or summary prospectus with this and other information about the T-REX ETFs please call 844-802-4004 or visit our website at rexshares.com. Read the prospectus and summary prospectus carefully before investing.
投資者在投資前應仔細考慮投資目標、風險、費用和開支。有關 T-REX ETF 的招股說明書或招股說明書摘要以及有關 T-REX ETF 的其他信息,請致電 844-802-4004 或訪問我們的網站 rexshares.com。投資前請仔細閱讀招股說明書及招股說明書摘要。
The Fund is not suitable for all investors. The Fund is designed to be utilized only by knowledgeable investors who understand the potential consequences of seeking daily leveraged (2X) and inverse (- 2X) investment results, understand the risks associated with leverage and the use of shorting and are willing to monitor their portfolios frequently. The Fund does not seek to achieve its stated investment objective over a period of time other than a single/ one trading day. The Shares will change in value, and you could lose money by investing in the Fund. The Fund may not achieve its investment objective. The Fund only intends to use reference assets that are traded on a U.S. regulated exchange. Investing in the funds is not equivalent to investing directly in Spot Bitcoin as the fund will generally hold 0% of underlying shares.
該基金並不適合所有投資者。該基金僅供知識淵博的投資者使用,他們了解尋求每日槓桿(2X)和反向(- 2X)投資結果的潛在後果,了解與槓桿和做空相關的風險,並願意監控其投資組合頻繁地。本基金不尋求在單一/一個交易日以外的一段時間內實現其既定投資目標。股份的價值將會發生變化,您可能會因投資該基金而遭受損失。本基金可能無法達成其投資目標。該基金僅打算使用在美國監管交易所交易的參考資產。投資該基金並不等於直接投資現貨比特幣,因為該基金通常持有 0% 的基礎股份。
The Funds’ investment adviser will not attempt to position each Fund’s portfolio to ensure that a Fund does not gain or lose more than a maximum percentage of its net asset value on a given trading day. As a consequence, if a Fund’s underlying security moves more than 50%, as applicable, on a given trading day in a direction adverse to the Fund, the Fund’s investors would lose all of their money.
基金的投資顧問不會嘗試對每個基金的投資組合進行定位,以確保基金在特定交易日的收益或損失不會超過其資產淨值的最大百分比。因此,如果基金的標的證券在特定交易日向不利於基金的方向變動超過 50%(如適用),則基金的投資者將損失所有資金。
There is no assurance that the T-Rex 2X Long Bitcoin Daily Target ETF will achieve its daily leveraged investment objective or that the T-Rex 2X Inverse Bitcoin Daily Target ETF will achieve its daily inverse leveraged investment objective. An investment in each Fund could lose money. The Funds are not complete investment programs.
無法保證 T-Rex 2X 多頭比特幣每日目標 ETF 將實現其每日槓桿投資目標,也不保證 T-Rex 2X 反向比特幣每日目標 ETF 將實現其每日反向槓桿投資目標。每個基金的投資都可能會虧損。該基金並非完整的投資計畫。
Effects of Compounding and Market Volatility Risk. The Fund has a daily leveraged investment objective and the Fund’s performance for periods greater than a trading day will be the result of each day’s returns compounded over the period, which is very likely to differ from the Fund performance, before fees and expenses.
複利和市場波動風險的影響。該基金有每日槓桿投資目標,而該基金在一個交易日以上期間的表現將是該期間內每天收益的複利結果,這很可能與扣除費用和開支之前的基金業績有所不同。
Options Contracts. The use of options contracts involves investment strategies and risks different from those associated with ordinary portfolio securities transactions. The prices of options are volatile and are influenced by, among other things, actual and anticipated changes in the value of the underlying instrument, including the anticipated volatility, which are affected by fiscal and monetary policies and by national and international political, changes in the actual or implied volatility of the underlying reference security, the time remaining until the expiration of the option contract and economic events. For the Fund in particular
選擇權合約。選擇權合約的使用涉及與普通投資組合證券交易不同的投資策略和風險。選擇權的價格具有波動性,除其他外,受到標的工具價值的實際和預期變化的影響,包括預期波動性,而預期波動性受到財政和貨幣政策以及國家和國際政治、經濟變化的影響。證券的實際或隱含波動率、選擇權合約到期前的剩餘時間、經濟事件。特別是對於基金
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