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ABR 75/25 Volatility Investor (VOLJX) Fund Overview

Educational signal · not a buy or sell recommendation · How to read this

$11.66 +$0.08 (+0.69%)

Beta 1.19: the stock has moved about 19% more than the S&P 500.

Data from FMP · Methodology

For informational purposes only. Not financial advice. Machine-generated analysis by Stock Expert AI — model gemini-2.5-flash, generated Jun 15, 2026. Editorial oversight is systemic, not page-by-page. Editorially accountable: Sedat ANAK, Founder and Editor-in-Chief. Data sources: Financial Modeling Prep, Yahoo Finance, SEC EDGAR

Quick Answer

ABR 75/25 Volatility Investor (VOLJX) trades at $11.66. Sector: Financials.

Price as of · Last analyzed: Jun 15, 2026
ABR 75/25 Volatility Investor (VOLJX) is an asset management fund that employs a dual volatility strategy, allocating 75% of its net assets to a 'long' volatility methodology and 25% to a 'short' volatility strategy. This approach aims to generate returns by actively managing exposure to market fluctuations across its diversified portfolio.

Analyst Coverage for VOLJX: VOLJX does not currently have published analyst price targets in our coverage universe. This is common for smaller-cap names with limited Wall Street coverage.

▶ Watch the VOLJX film Every key number, told as a short cinematic story — just press play. ~2 min

ABR 75/25 Volatility Investor (VOLJX) Financial Services Profile

IPO Year2020

ABR 75/25 Volatility Investor (VOLJX) is an asset management fund employing a distinct dual volatility strategy, with 75% of net assets in a "long" volatility methodology and 25% in a "short" volatility approach. The fund's market position is intrinsically linked to its ability to effectively manage market fluctuations and attract assets under management.

Data Provenance | Financial Data Quantitative Analysis Analysis: Jun 15, 2026

What Is the Investment Thesis for VOLJX?

AI-written as of Jun 15, 2026 — figures and tone reflect the data available then, not today's score.

The investment thesis for ABR 75/25 Volatility Investor (VOLJX) centers on its specialized dual volatility strategy, which allocates 75% of net assets to a "long" volatility methodology and 25% to a "short" volatility strategy. This defined approach offers transparency and a clear investment mandate, which can be a strength in attracting institutional capital. With a market capitalization of $0.13 billion, the fund's growth is inherently linked to its ability to generate consistent returns and expand its assets under management. Its Beta of 1.19 indicates a higher sensitivity to overall market movements compared to the broader market, suggesting that while it aims to profit from volatility, its NAV can be significantly impacted by market fluctuations. A key value driver is the fund's potential to deliver uncorrelated or partially correlated returns to traditional asset classes, particularly during periods of heightened market stress when its long volatility component may perform strongly. Conversely, the short volatility component aims to capture premium decay during calmer markets. The ongoing challenge and growth catalyst lie in the investment manager's expertise in executing these complex strategies effectively across varying market cycles, demonstrating consistent alpha generation relative to its objectives. Investors will closely monitor the fund's Net Asset Value (NAV) performance and its ability to manage drawdowns, especially given its non-dividend-paying status, making capital appreciation the sole return mechanism.

Based on FMP financials and quantitative analysis

VOLJX Key Highlights

AI-written as of Jun 15, 2026 — figures and tone reflect the data available then, not today's score.

Market capitalization of $0.13 billion, reflecting its current scale within the specialized asset management sector.

  • Beta of 1.19, indicating a higher sensitivity to broader market movements, which can amplify both gains and losses.
  • Employs a distinct 75% 'long' volatility and 25% 'short' volatility strategy, aiming to capitalize on diverse market conditions.
  • Operates without a dividend yield, meaning investor returns are solely dependent on capital appreciation of the fund's Net Asset Value.
  • Positioned within the Asset Management industry under the Financial Services sector, focusing on specialized volatility-based strategies.

Who Are VOLJX's Competitors?

VOLJX is benchmarked below against 8 industry peers on price, market cap, and our AI MoonshotScore.

Company Price Change Market Cap MoonshotScore
BLK BlackRock, Inc. $1065.28 +0.53% $164B 51 5-pillar
BX Blackstone Inc. $112.47 +0.64% $135B 68 5-pillar
APOS Apollo Global Management, Inc. $25.53 -0.23% $74.8B 56 5-pillar
BAM Brookfield Asset Management $44.57 -0.62% $71.6B 57 5-pillar
AMP Ameriprise Financial, Inc. $493.63 +0.55% $44.1B 77 5-pillar
ARES Ares Management Corporation $117.97 +0.36% $38.5B 57 5-pillar
TROW T. Rowe Price Group, Inc. $103.21 -1.35% $22.4B 80 5-pillar
ATHS Athene Holding Ltd. $23.31 -0.85% $18.8B 56 5-pillar

AI Score by Stock Expert AI · Price data: FMP / Yahoo Finance

What Are VOLJX's Key Strengths?

Defined investment strategy with a 75% 'long' and 25% 'short' volatility allocation.

  • Transparency to investors regarding its specialized approach to market volatility.
  • Specialized focus on volatility as an asset class, offering potential diversification benefits.
  • Potential to generate returns across various market environments by leveraging both rising and falling volatility.

What Are VOLJX's Weaknesses?

High sensitivity to overall market fluctuations, indicated by a Beta of 1.19.

  • No dividend yield, meaning investor returns are solely dependent on capital appreciation.
  • Reliance on the investment manager's expertise for effective strategy execution.
  • Niche investment strategy may limit its broad appeal to all investor segments.

What Are the Key Risks for VOLJX?

High sensitivity to overall market fluctuations, as indicated by its Beta of 1.19, which could lead to significant swings in Net Asset Value.

  • Underperformance relative to its investment objectives or peer group, which could deter new investors and lead to AUM outflows.
  • Intense competition within the asset management industry, particularly from other specialized funds and alternative investment vehicles.
  • Adverse regulatory changes impacting the use of derivatives or the structure of volatility-focused funds, increasing compliance costs or limiting strategies.
  • Prolonged periods of exceptionally low market volatility, which could diminish opportunities for the 'long' volatility component of the fund's strategy.

What Are VOLJX's Competitive Advantages?

  • Proprietary 'long' and 'short' volatility methodologies, developed and refined by the Adviser, which are not easily replicable.
  • Specialized expertise and experience in managing complex volatility-based strategies, requiring deep market understanding and quantitative skills.
  • Defined investment mandate offering transparency to investors regarding its specific approach to market volatility.
  • Potential for a strong performance track record over time, which can act as a significant draw for new assets and investor loyalty.

What Does VOLJX Do?

ABR 75/25 Volatility Investor (VOLJX) operates within the financial services sector as an asset management fund, designed to navigate and capitalize on market volatility through a structured investment approach. The fund's core methodology involves a specific allocation strategy under typical market circumstances. A significant portion, precisely three-quarters (75%) of the fund's net assets, is strategically invested according to the Adviser's proprietary "long" volatility methodology. This component aims to benefit from increases in market volatility, often associated with periods of market uncertainty or downward trends, by utilizing instruments designed to appreciate as volatility rises. Conversely, the remaining quarter (25%) of the net assets is dedicated to the Adviser's distinct "short" volatility strategy. This segment seeks to generate returns during periods of stable or declining market volatility, often by selling options or similar derivatives, profiting from the decay of option premiums when market movements are subdued. The fund's operational model is centered on its ability to dynamically manage these two complementary strategies to achieve its investment objectives. Its market position is directly tied to its performance, its capacity to attract and retain assets under management (AUM), and the transparency of its defined investment strategy. While the fund aims for diversification across assets, its primary focus remains on volatility as an asset class. The investment manager is responsible for the ongoing allocation and rebalancing of the portfolio to maintain the target 75/25 split between long and short volatility exposures, adapting to evolving market conditions within the parameters of its stated strategy. This specialized approach differentiates VOLJX from traditional equity or fixed-income funds, positioning it as a tool for investors seeking specific exposure to volatility dynamics rather than broad market beta. The fund's existence is predicated on the belief that volatility, as a measurable market phenomenon, can be strategically harnessed for return generation, offering a distinct proposition within the crowded asset management landscape.

What Products and Services Does VOLJX Offer?

  • Manages an investment fund focused on generating returns through strategic exposure to market volatility.
  • Allocates 75% of its net assets to a proprietary 'long' volatility methodology, aiming to profit when market volatility increases.
  • Allocates 25% of its net assets to a distinct 'short' volatility strategy, designed to benefit from periods of stable or declining volatility.
  • Utilizes a diversified portfolio approach, adapting asset allocation based on prevailing market conditions.
  • Provides investors with a specialized investment vehicle to gain exposure to volatility as an asset class.
  • Seeks to achieve investment objectives by actively managing the balance between its long and short volatility exposures.

How Does VOLJX Make Money?

  • Generates revenue primarily through management fees charged on its Assets Under Management (AUM).
  • Attracts capital from investors seeking specialized exposure to market volatility and potential diversification benefits.
  • Retains investor capital by demonstrating consistent performance and effective execution of its stated investment strategy.
  • Employs a team of investment professionals to research, analyze, and execute trades aligned with its long and short volatility methodologies.

What Industry Does VOLJX Operate In?

ABR 75/25 Volatility Investor (VOLJX) operates within the highly competitive and evolving Asset Management industry, a sub-sector of Financial Services. This industry is characterized by a diverse range of investment vehicles, from traditional equity and fixed income funds to increasingly complex alternative strategies like those focused on volatility. The broader market trend shows a growing demand for specialized investment solutions that can offer diversification or specific risk exposures beyond conventional portfolios. VOLJX differentiates itself by explicitly targeting volatility as an asset class, employing a unique 75% long volatility and 25% short volatility methodology. This positions it within a niche segment that competes not only with other volatility-focused funds (e.g., VIX ETPs, managed futures) but also with broader alternative investment managers. Its ability to attract and retain assets under management (AUM) is paramount, relying on demonstrated performance, transparent strategy execution, and effective risk management in a market increasingly scrutinizing fees and performance. The competitive landscape includes large institutional asset managers, boutique alternative funds, and even hedge funds offering similar exposures, all vying for investor capital by promising differentiated returns or risk profiles.

Who Are VOLJX's Key Customers?

  • Institutional investors, including pension funds, endowments, and foundations, seeking specialized alternative allocations.
  • High-net-worth individuals and family offices looking for sophisticated strategies to manage portfolio risk or generate alpha.
  • Financial advisors and wealth managers who allocate client capital to funds offering unique market exposures.
  • Investors interested in gaining exposure to market volatility as a distinct asset class, rather than traditional equity or fixed income.
Model self-rating on this text: 68% (not a measure of the evidence) Updated: Jun 15, 2026

Research confidence

Low

Thin evidence — scoring coverage unknown. Treat this as a starting point, not a conclusion.

  • ● Scoring coverage unknown
  • ● Price is current
  • ● No filing on record
  • ● No analyst coverage
  • ● This is a fund, not an operating company

MoonshotScore History

Recorded daily since 2026-08-23 · 41 snapshots

2026-08-23 49
2026-08-31 49
2026-09-08 49
2026-09-16 49
2026-09-24 49
2026-10-04 49

What changed?

The score has stayed at 49.

Over the same 30 days the stock moved -1.3%.

VOLJX Financials

Bull Case vs Bear Case

Bull Case

  • Defined investment strategy with a 75% 'long' and 25% 'short' volatility allocation.
  • Transparency to investors regarding its specialized approach to market volatility.
  • Specialized focus on volatility as an asset class, offering potential diversification benefits.
  • Potential to generate returns across various market environments by leveraging both rising and falling volatility.

Bear Case

  • High sensitivity to overall market fluctuations, indicated by a Beta of 1.19.
  • No dividend yield, meaning investor returns are solely dependent on capital appreciation.
  • Reliance on the investment manager's expertise for effective strategy execution.
  • Niche investment strategy may limit its broad appeal to all investor segments.

AI-generated arguments based on insider flow, news sentiment and technicals — not financial advice · July 2026

VOLJX Latest News

No recent news available for VOLJX.

VOLJX Analyst Consensus

Consensus Rating

Aggregated Buy/Hold/Sell recommendations collected by Financial Modeling Prep for VOLJX.

Price Targets

Wall Street price target analysis for VOLJX.

VOLJX MoonshotScore

MoonshotScore is Stock Expert AI's proprietary 0-100 research rating, not a buy or sell recommendation. No MoonshotScore is published for VOLJX; grades run from A+ (80-100) to F (below 30).

What Investors Ask About ABR 75/25 Volatility Investor (VOLJX) — Financials

What regulatory considerations are relevant for a fund like VOLJX?

As an asset management fund operating within the financial services sector, ABR 75/25 Volatility Investor (VOLJX) is subject to a range of regulatory considerations. These typically include compliance with securities laws, such as the Investment Company Act of 1940 in the U.S., which governs mutual funds.

Disclaimer: This content is for informational purposes only and does not constitute investment advice. Always do your own research and consult a financial advisor.

Official Resources

Price as of Analysis updated

MoonshotScore is not published for this security.

Data Sources & Methodology
Figures come from Financial Modeling Prep (FMP). If FMP has no figure for a ticker, a price or fundamental may come from a Yahoo Finance fallback, or a price from an Alpaca fallback. SEC EDGAR is used only for filing links and company identity details (legal name, address), never for figures. AI analysis by Stock Expert AI proprietary algorithms. Technical indicators via industry-standard calculations. Last updated: .
Data Provenance
Sources: Financial Modeling Prep (FMP) — Primary · Yahoo Finance — Fallback · Alpaca — Tertiary
Last fetched:
Cache TTL: Quote 5min · Profile 7d · Financials 7d · Insider 48h
How we use AI: Numbers are pulled directly from FMP & Yahoo Finance — our AI writes the analysis, it never edits the figures.
Data provided as-is for educational purposes. Not financial advice. Methodology

Data provided for informational purposes only.

Analysis Notes
  • All information is derived exclusively from the provided source data.
Data Sources
Financial Modeling Prep (FMP)Stock Expert AI proprietary analysis