
Bluemonte Global Equity ETF (BINT) ETF Ticker
BINT right now
Market factors today
Unlock the full BINT picture
About Bluemonte Global Equity ETF
BINT seeks growth of capital through investments in shares of unaffiliated ETFs. It provides exposure to the global equity market by actively managing a portfolio of funds primarily invested in US and international companies. The fund-of-funds will typically have exposure to at least three countries with at least 40% of its assets invested in non-US companies. The portfolio may hold small-, mid-, and large-caps, with no limitations on investment styles or other factor tilts such as growth, value, and quality. In selecting constituents, the fund utilizes a combination of top-down and bottom-up investment approach to identify securities believed to be reasonable representatives, priced fairly, and reflects relative performance in comparison to similar ETFs. Note that due to the funds active management, final investment decisions are at the discretion of the adviser.
BINT etf facts
| Ticker symbol | BINT |
| Exchange | New York Stock Exchange Arca |
| Sector | Financial Services |
| Industry | Asset Management |
| Market cap | $417.1M |
| CEO | Dario Silić |
| Employees | 263 |
| Headquarters | Birmingham, AL, US |
| IPO date | 2025-06-23 |
| Website | bluemontefunds.com/bint |
What you can see for BINT on Tickr
Live BINT 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 BINT report.
Rankings
FAQ
What is the ticker symbol for Bluemonte Global Equity ETF?
The ticker symbol for Bluemonte Global Equity ETF is BINT, listed on the New York Stock Exchange Arca.
What is BINT?
BINT seeks growth of capital through investments in shares of unaffiliated ETFs. It provides exposure to the global equity market by actively managing a portfolio of funds primarily invested in US and international companies. The fund-of-funds will typically have exposure to at least three countries with at least 40% of its assets invested in non-US companies. The portfolio may hold small-,…