$45.47
Closed
-(-)

At close

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About

MRGR was created on 2012-12-11 by ProShares. The fund's investment portfolio concentrates primarily on long/short alternatives. MRGR tracks an index of developed-market equities involved in merger deals, with long exposure to target firms and short exposure to acquiring firms. The fund is net long and hedges FX risk.
Company

ProShares

Asset class

Alternatives

Inception date

2012

Investment segment

Long/Short

ISIN

US74348A5662

Key stats

Open

$45.85

Volume

75.00

AUM

$15.91M

Prev. close

$45.48

Expense ratio

0.75%

P/E

0.00

$45.47

Day’s Range

$45.85

$44.47

52W Range

$45.71

What’s in the fund

11
Total sectors
Industrials
12.88%
Financials
7.53%
Consumer Staples
7.36%
Information Technology
7.36%
Energy
5.42%
Health Care
5.13%
Consumer Discretionary
3.84%
Materials
3.83%
Utilities
1.84%
Communication Services
1.53%
Others
43.28%

Returns

Performance
_
Difference
_
ProShares Merger ETF

Jun

30

Dividends

The last payment date was Jun 30, 2026

Div. per Share

$0.09

Div. Yield

0.19%

Div. Growth YoY

-1.26%

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