NASDAQ
32.57USD
+0.23 (+0.72%)
We have scored 7 news catalysts on Man ETF Series Trust - Man Active Trend Enhanced ETF (MATE) over the past 12 months. The biggest single-day move next to one of them came Jul 18, 2026, when MATE closed −1.3%: “Blockmate Ventures raises C$1M for Wyoming AI data center - ICYMI”. Coverage across the window leans positive (average ticker sentiment +0.59). Most of the impact sits in sector technology and forward growth expectations.
Dots are scored news catalysts — size = impact, color = sentiment. Tap one to read it.
Market cap
41.5M
P/E
—
EPS
—
Beta
1.27
52W range
22.68-32.66
Day range
32.31–32.61
Open
32.38
Prev close
32.34
Volume
4K
Avg volume
10.7K
Dividend
0.00
IPO
2025-12-17
Daily OHLCV with SMA overlays and session pivots. Draw your levels and trendlines on it, or ask the AI analyst what the price is reacting to.
Suppliers, customers, partners and competitors, derived from what the news actually says about Man ETF Series Trust - Man Active Trend Enhanced ETF — not a sector bucket. Click an edge to see the articles that established the link.
Latest scored catalyst for MATE: .
Free · No account
Get a free daily PDF briefing — the last 24 hours of news, with summaries and the market-impact score for each story, delivered an hour before the open.
We’ll watch
Pre-filled from this story — remove any you don’t want. Add more tickers & tags or fine-tune your watchlist anytime — every email has an edit link, no account needed.
Free forever · one email a day, max · unsubscribe in one click.How it works
MATE is actively managed, using a quantitative model to allocate investments between two strategies: a trend-following strategy, which invests in global derivatives (futures and forwards) to gain long and short exposures across equities, fixed income, currencies, and commodities, and an equity strategy, which focuses on US equities, ETFs, and equity index futures. Thus, the fund aims to replicate S&P 500 exposure and using remaining cash in momentum-based models to enhance portfolio return across different market conditions. The fund maintains 100% exposure to each strategy and holds US Treasury securities, cash, and equivalents as collateral and for income generation.