Study of VENAX

Study of VENAX

Previous Close 55.63
YTD Return 40.33%
Expense Ratio (net) 0.10%
Category Equity Energy
Last Cap Gain 0.00
Morningstar Rating ★★★★★
Morningstar Risk Rating N/A
Sustainability Rating
Net Assets 9.97B
Beta (5Y Monthly) N/A
Yield 3.30%
5y Average Return N/A
Holdings Turnover 8.00%
Last Dividend 0.03
Average for Category N/A
Inception Date Oct 07, 2004

Top 10 Holdings (67.14% of Total Assets)

Get Quotes for Top Holdings

Name Symbol % Assets
Exxon Mobil Corp XOM 21.95%
Chevron Corp CVX 16.56%
ConocoPhillips COP 6.17%
EOG Resources Inc EOG 4.01%
Schlumberger Ltd SLB 3.53%
Marathon Petroleum Corp MPC 3.27%
Phillips 66 PSX 3.12%
Kinder Morgan Inc Class P KMI 3.06%
Pioneer Natural Resources Co PXD 2.81%
Williams Companies Inc WMB 2.66%

Overall Portfolio Composition (%)

  1. Cash0.04%
  2. Stocks99.96%
  3. Bonds0.00%
  4. Others0.00%
  5. Preferred0.00%
  6. Convertable0.00%

Sector Weightings (%)

  1. Sector(s)  VENAX
  2. Basic Materials 0.19%
  3. Energy 99.77%
  4. Industrials 0.05%

About Timeless Investor

My name is Samual Lau. I am a long-term value investor and a zealous disciple of Ben Graham. And I am a MBA graduated in May 2010 from Carnegie Mellon University. My concentrations are Finance, Strategy and Marketing.
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