US Market ETF

Ticker: ESUM

As of 09/16/2025
$26.97
Net Asset Value
$27.00
Market Price
-$0.12decrease
NAV Daily Change ($)
-$0.09decrease
Market Daily Change ($)
-0.43%decrease
NAV Daily Change (%)
-0.34%decrease
Market Daily Change (%)
Fund Objective

The Fund's investment objective is to seek long-term capital appreciation.

Investment Strategy
The Eventide US Market ETF (the "Fund") is designed as a core investment solution for investors seeking to participate in the U.S. equity market, while adhering to Eventide's investment values and Business 360® framework.

All companies in the Fund are evaluated through Business 360®, which is Eventide's proprietary framework for assessing the moral quality of every potential investment. This process involves an initial screening of over 50 ethical issues based on data from multiple external vendors and internal web scraping. Before being selected for the Fund, companies must pass this quantitative screening process, as well as undergo an in-depth qualitative review to determine if their products and practices are creating compelling value for all stakeholders. The Fund is then systematically constructed to seek optimal internal diversification and risk management, leveraging quantitative methods and tools.

This Fund was built to help bridge the gap for passive investors who wish to invest with uncompromising values, but with lower fees and potential tracking error than many other available investment offerings.
Fund Information
  • Benchmark
    Bloomberg US 3000 Total Return Index
  • Inception Date
    12/17/2024
  • Expense Ratio
    0.39%
  • Distributor
    Foreside Fund Services, LLC
Trading Statistics
As of 09/16/2025
NAV
$26.97
NAV Daily Change
-$0.12decrease
-0.43%decrease
Market Price
$27.00
Market Price Change
-$0.09decrease
-0.34%decrease
Market Premium/Discount
0.12%
30-Day Median Bid/Ask Spread
0.11%
As of 09/16/2025

Premium or Discount to NAV

Performance
As of the quarter ending 06/30/2025
YTD3-month1-year3-year5-yearSince Inception
Eventide US Market ETF  
Net Asset Value (NAV)
7.6310.40---4.39
Market Price
7.5910.35---4.43
Benchmark  
Bloomberg US 3000 Total Return Index
5.7511.16---2.54

The performance data quoted represents past performance. Past performance does not guarantee future results. Current performance may be lower or higher than the performance data quoted. The investment return and principal value of an investment will fluctuate so that an investor's shares, when sold or redeemed, may be worth more or less than their original cost. Returns of less than one year are not annualized. The Fund's NAV and Market price as of the current date are displayed above. Shares of any ETF are bought and sold at market price of the ETF's primary exchange, NYSE Arca, and are not bought and sold at NAV. Because ETFs trade like stocks at current market prices, shareholders may pay more than a fund's NAV when purchasing fund shares and may receive less than a fund's NAV when selling fund shares. Shares are not individually redeemable from the Fund and may only be acquired or redeemed from the Fund in creation units. Brokerage commissions will reduce returns. Performance data current to the most recent month-end may be obtained by calling 1-877-771-EVEN (3836).

Number of days summary
As of 09/16/2025
 
2024
Q1 2025
Q2 2025
Q3 2025
Days Traded at Premium9545643
Days Traded at Discount0568

A premium or discount to the Fund's net asset value (NAV) occurs when the market price of an ETF on the exchange rises above or falls below its NAV. If the market price is higher than the NAV, the ETF is said to be trading at a "premium." If the price is lower, it is trading at a "discount." The table above describes market price vs. NAV at the close of trading on the exchange on which the Fund trades.

Top 10 Holdings
As of 09/16/2025
Download all holdings
Ticker
Holding Weight
Show All Holdings arrow down

Holdings are as of the date shown and are subject to change.

Portfolio Managers

Chris Grogan, CFA

Portfolio Manager, Director of Asset Allocation Services

Chris Grogan, CFA, serves as Director of Asset Allocation Services, Co-Portfolio Manager for Eventide's US Equity Market Strategy, and Portfolio Manager for Eventide's Fixed-Income Strategies. Within his roles at Eventide, Mr. Grogan is primarily involved with leading asset allocation strategy, systematic portfolio construction, multi-asset risk analytics, sub-advisor oversight, and investment consultation services.

Prior to joining Eventide in 2019, Mr. Grogan was an Associate Portfolio Manager with Boston Advisors, LLC. Before that, he was a Financial Planning Analyst with Raymond James. 

Mr. Grogan has a dual B.A. in Economics and Finance from Gordon College. He holds the Chartered Financial Analyst designation and is a member of the CFA Society Boston and CFA Institute.

Tyler Frugia

Portfolio Manager, Head of Portfolio Analytics

Tyler Frugia serves as Portfolio Manager and Head of Portfolio Analytics for Eventide. Mr. Frugia acts as Co-Portfolio Manager for Eventide’s US Equity Market Strategy, the firm’s flagship systematic ETF. In his role as Head of Portfolio Analytics, Mr. Frugia works alongside Eventide’s Co-CIOs to design and build custom proprietary tools to provide unique investment insights. Mr. Frugia spearheads the development, implementation, and oversight of Eventide’s proprietary internal research tools and analytic environments. He also oversees Eventide’s Business 360® operations and helps ensure all investments meet Eventide’s investment ideals.

Prior to joining Eventide in 2015, Mr. Frugia worked for 8 years in the non-profit sector for a national foundation where he was responsible for building grant management systems and tools for measuring grant impact. Prior to that, he was a freelance programmer working in many different sectors, including industrial where he was responsible for building DEQ reporting systems.

Mr. Frugia holds a B.S. in Computer Science from Western Oregon University.