# Sequoia Global Value ETF (SFGV) ETF

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> **Last updated:** 2026-03-15 UTC  
> **Disclaimer:** This is not financial advice. Educational purposes only.

## Quick Answer

The fund (a series of the EA Series Trust) seeks to provide value-oriented global equity exposure, selecting stocks which the adviser views as undervalued with potential for long-term appreciation. 0.33% expense ratio, $1.1B AUM, inception 2024.

## Fund Snapshot

- **Fund Name:** Sequoia Global Value ETF
- **Symbol:** SFGV
- **Asset Class:** Equity
- **Domicile:** US
- **Expense Ratio:** 0.33%
- **NAV:** $34.83
- **AUM:** $1.14B
- **Inception Date:** 2024-01-18
- **Holdings Count:** 0
- **Dividend Yield:** 0.00%

## About Sequoia Global Value ETF

The fund (a series of the EA Series Trust) seeks to provide value-oriented global equity exposure, selecting stocks which the adviser views as undervalued with potential for long-term appreciation. (Proposed name change effective Oct 29, 2025)

## Investment Strategy

The fund (a series of the EA Series Trust) seeks to provide value-oriented global equity exposure, selecting stocks which the adviser views as undervalued with potential for long-term appreciation. (Proposed name change effective Oct 29, 2025) Sequoia Global Value ETF provides exposure to the equity market. Sector allocation is spread across 11 sectors, with Consumer Cyclical as the largest at 15.3%.

## Risk Profile

Sequoia Global Value ETF holds only 0 positions, creating elevated concentration risk where poor performance from a few holdings can significantly impact returns. As with all ETFs, the fund is subject to market risk and its value will fluctuate with market conditions. Past performance does not guarantee future results. Investors should consider the fund's investment objectives, risks, charges, and expenses carefully before investing.

## Sector Allocation

- Consumer Cyclical: 15.3%
- Industrials: 13.7%
- Healthcare: 12.7%
- Energy: 11.4%
- Technology: 11.4%
- Financial Services: 10.5%
- Consumer Defensive: 8.8%
- Basic Materials: 6.0%
- Real Estate: 5.9%
- Communication Services: 3.4%
- Utilities: 1.0%

## Country Allocation

- United States: 97.6%
- United Kingdom: 0.9%
- Ireland: 0.6%
- Bermuda: 0.3%
- Switzerland: 0.3%
- Other: 0.2%
- Canada: 0.1%
- Monaco: 0.0%

## Frequently Asked Questions

### What is Sequoia Global Value ETF (SFGV)?

The fund (a series of the EA Series Trust) seeks to provide value-oriented global equity exposure, selecting stocks which the adviser views as undervalued with potential for long-term appreciation. (Proposed name change effective Oct 29, 2025) With $1.1B in assets under management, it is one of the larger funds in its category.

### What is the expense ratio for SFGV?

Sequoia Global Value ETF has an expense ratio of 0.33%, which is considered moderate for equity ETFs. This means for every $10,000 invested, annual fees would be approximately $33. Lower expense ratios generally lead to better long-term returns, all else being equal.

### What sectors does SFGV invest in?

Sequoia Global Value ETF allocates across 11 sectors. The largest sector exposures are Consumer Cyclical (15.3%), Industrials (13.7%), Healthcare (12.7%). The sector allocation provides broad market exposure across multiple industries.

### How long has SFGV been around?

Sequoia Global Value ETF was launched in 2024, making it 2 years old. It is a relatively newer fund with a shorter track record.

### What is the current NAV of SFGV?

Sequoia Global Value ETF has a net asset value (NAV) of approximately $34.83 per share. The NAV represents the per-share value of the fund's underlying assets minus liabilities. Market price may differ slightly from NAV due to supply and demand dynamics during trading hours.

## Data Sources

- Yahoo Finance (ETF bundle)
- Issuer prospectus
- Stock Expert AI proprietary analysis

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All content on Stock Expert AI is for educational and informational purposes only. Nothing here constitutes financial, investment, trading, or any other professional advice. Users should consult qualified financial advisors before making investment decisions.

ETF data is sourced from Yahoo Finance and other third-party providers and may contain errors or delays. Past performance does not guarantee future results. Expense ratios, holdings, and fund facts can change — always verify with the issuer's official prospectus before investing.

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