AXS Investments Acquires Industry's First-Ever Certified Carbon-Neutral ETF (CHGX) Expanding Its ETF and ESG Lineup
AXS Change Finance ESG ETF (CHGX) continues the firm's fast-paced build-out of industry-leading family of non-traditional alternatives and ESG solutions
NEW YORK, March 21, 2022 /PRNewswire/ -- AXS Investments, a leading asset manager providing access to alternative and sustainable investments for growth, income and diversification, today announced the acquisition of the industry's first-ever certified carbon-neutral ETF (CHGX), which joins the fast-growing lineup of AXS funds.
CHGX has earned a 5-Globe Morningstar Sustainability Rating, the highest possible rating, putting the fund at the top of the list for investors seeking the crème de la crème of ESG and sustainable investment exposures to buttress their portfolios.
The acquisition of CHGX by AXS comes on the heels of ESG and Sustainable funds attracting a record
CHGX has approximately
"2021 was a record year for inflows into ESG and sustainability-focused investments and, at the same time, the market has shown little tolerance for greenwashing," said Greg Bassuk, CEO of AXS Investments. "At AXS, we too have no tolerance for greenwashing, which is why we are building a fund family that has some of the most robust ESG and sustainability standards in the industry, reflective in funds like CHGX. We're excited to partner with the Change Finance team, longtime leaders in sustainable investing and shareholder advocacy. Their insights will be invaluable as we continue to offer investors strategies that raise the bar for ethics, governance and planet sustenance, emblematic of the CHGX ETF."
"We're thrilled to partner with AXS Investments, a team whose longtime success in the ETF space is unparalleled," said Andrew Rodriguez, CEO and Chief Investment Officer of Change Finance. "As we are trailblazing in developing highly robust sustainable strategies, we chose to partner with AXS as an asset management leader that shares our conviction in the highest integrity ESG and sustainable investments, as well as our mutual commitment to setting new standards for ethics, engagement and sustainability in our products, our workplace and our broader U.S. and global communities."
The acquisition of CHGX follows the successful launch of the AXS Astoria Inflation Sensitive ETF (PPI), which provides investors with a first-of-its-kind, one-stop inflation strategy that seeks to hedge against inflation and generate appreciation through inflation-sensitive investments. PPI has performed as designed and has proven popular with investors, amassing more than
AXS Investments is a recognized thought leader in sustainable investing. The firm founded the Institute for Sustainable Investing in 2020 as a global center for research, education and thought leadership in sustainable and impact investing. The Institute is a collaboration with academia, business and government to help people, corporations and communities experience sustainable financial well-being and to mobilize education and resources that drive immediate and long-term sustainable outcomes.
About AXS Investments
AXS Investments is a leading alternative investment manager providing a diversified family of alternative and sustainable investments for growth, income and diversification. The firm empowers investors to diversify their portfolios with investments previously available only to the largest institutional and high net worth investors. The investor-friendly AXS funds are time-tested, liquid, transparent and managed by high pedigreed portfolio managers with long and strong track records. For more information, visit www.axsinvestments.com.
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Morningstar Sustainability Rating: Out of 1,567 large growth funds as of 11/30/2021. Based on
The Certified Carbon Neutral Fund certification was bestowed by EthosESG, who audits the carbon footprint of CHGX and carbon offset purchases at least annually before issuing the Carbon Neutral Fund designation. See www.ethosesg.com.
There is no guarantee the sectors or asset classes the advisor identifies will benefit from inflation. Fund may invest a larger portion of its assets in one or more sectors than many other funds, and thus will be more susceptible to negative events affecting those sectors. Market and Equity Risk: The value and market price of an equity security may decline due to general market conditions that may or may not be specifically related to a particular company or industry. Passive investment risk: The Fund invests in securities included in the Index regardless of investment merit. It is not actively managed and generally will not attempt to take defensive positions in declining markets. ESG Investing Risk: The Fund's ESG policy could cause it to make or avoid investments that could result in the portfolio underperforming similar funds that do not have such policies. Market Cap Risks: Companies with larger capitalization may be unable to attain the high growth rates of successful, smaller companies during periods of economic expansion. The securities of mid-capitalization companies may be subject to more abrupt or erratic market movements and may have lower trading volumes or more erratic trading than securities of larger, more established companies. Real Estate Risk: Investments in Real Estate Investment Trusts (REITs) involve risks such as declines in the value of real estate and increased susceptibility to adverse economic or regulatory developments.
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