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Aristotle Multi-Sector Income ETF logo

Aristotle Multi-Sector Income ETF (ARMS) ETF Ticker

AMEX: ARMS · Financial Services · Asset Management
$24.63-0.04%
USD · as of 2026-09-27 · market cap $4.9M
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About Aristotle Multi-Sector Income ETF

ARMS seeks a high level of current income through USD-denominated, income-producing debt instruments, with an expected weighted average duration of zero to eight years. The actively managed fund is unconstrained by sector, investing up to 75% in investment-grade debt and up to 65% in high-yield bonds. The portfolio may include both corporate and government debt securities, with non-USD-denominated securities limited to 10%20%. The fund may also invest in USD-denominated securities issued by foreign entities. Selection is driven by a fundamental research process combining bottom-up analysis and top-down market assessment, with consideration to capital appreciation potential. The fund targets companies with sustainable competitive positions, strong management, and the ability to repay or refinance debt obligations. Each potential issuer undergoes a credit analysis, and each potential investment is subject to a relative value assessment. The fund may engage in securities lending.

ARMS etf facts

Ticker symbolARMS
ExchangeNew York Stock Exchange Arca
SectorFinancial Services
IndustryAsset Management
Market cap$4.9M
HeadquartersNewport Beach, CA, US
IPO date2026-07-30
Websitewww.arm.com

What you can see for ARMS on Tickr

Live ARMS price chart with overlays, holdings, sector and country allocation, financial statements and consensus estimates, analyst ratings, catalysts, news with AI scoring, and an AI chat that has read the ARMS report.

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FAQ

What is the ticker symbol for Aristotle Multi-Sector Income ETF?

The ticker symbol for Aristotle Multi-Sector Income ETF is ARMS, listed on the New York Stock Exchange Arca.

What is ARMS?

ARMS seeks a high level of current income through USD-denominated, income-producing debt instruments, with an expected weighted average duration of zero to eight years. The actively managed fund is unconstrained by sector, investing up to 75% in investment-grade debt and up to 65% in high-yield bonds. The portfolio may include both corporate and government debt securities, with…

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