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Smart Investors Daily
PC

AMEX · PCR

Simplify Exchange Traded Funds - Simplify VettaFi Private Credit Strategy ETF

Financial Services · Asset Management - Income

$19.71

Up+$0.00 (+0.00%)

Updated Aug 24, 2026, 7:04 PM

SID Score

4.0/10

Composite research score

Smart Money

Institutional and insider signal

Market cap
2.46M
P/E ratio
Dividend yield
1.52%
52-week range
$18.59 – $21.30
Volume
3.96K
Avg. volume
1.76K

Price performance

PCR price history

1M range · 20 trading sessions · Daily adjusted prices

PCR closed at $19.71 after 20 trading sessions, up 3.98% for the selected period.

Last close
$19.71
Period change
+3.98%
Period low
$18.73
Period high
$20.15
Daily close
View OHLC price history
PCR OHLC price history, latest 40 sessions
DateOpenHighLowCloseVolume
Aug 21, 2026$19.64$19.705$19.63$19.7053.96K
Aug 20, 2026$19.65$19.7132$19.65$19.7132244.39
Aug 19, 2026$19.7673$19.7673$19.7673$19.767330.39
Aug 18, 2026$19.7315$19.7315$19.7315$19.731511.39
Aug 17, 2026$19.65$19.7096$19.65$19.7096196.64
Aug 14, 2026$20.00$20.00$19.98$19.98081.26K
Aug 13, 2026$20.09$20.1498$20.07$20.1498704.39
Aug 12, 2026$19.84$19.8704$19.84$19.8704240.39
Aug 11, 2026$19.94$19.94$19.94$19.94616.39
Aug 10, 2026$19.90$19.90$19.90$19.9099.39
Aug 7, 2026$19.9763$19.9763$19.9763$19.976336.39
Aug 6, 2026$19.61$19.61$19.52$19.5552.24K
Aug 5, 2026$19.0341$19.0341$19.0341$19.0341297.39
Aug 4, 2026$19.3108$19.3108$19.3108$19.310872.39
Aug 3, 2026$19.0395$19.09$19.0395$19.0762528.89
Jul 31, 2026$18.685$18.7354$18.59$18.73545.67K
Jul 30, 2026$18.7393$18.7393$18.7393$18.739317.39
Jul 29, 2026$18.80$18.83$18.725$18.725729.39
Jul 28, 2026$18.84$19.02$18.84$18.9727260.39
Jul 27, 2026$18.95$18.95$18.95$18.9536.39

Latest PCR news

The latest Smart Investors Daily articles mentioning PCR.

PCR research

Overview

Company profile and research snapshot.

Company profile

PCR is an actively managed ETF employing two primary strategies: private credit exposure via index tracking, and a long/short equity hedge. The bulk of the assets are invested in publicly-traded business development companies and closed-end funds focused on private credit, as determined by an index. A proprietary scoring methodology for volatility and yield is used to select index holdings, favoring those with lower volatility and higher yield. Positions are weighted by trading volume, and the fund may hold larger allocations in fewer issuers. The index is reconstituted and rebalanced semi-annually. The credit hedging strategy uses total return swaps to go long on quality equities and short junk equities. The fund may take temporary defensive positions during adverse market conditions.

Analyst outlook

Consensus and target data currently published for this company.

Consensus
Average target
Implied upside
Analysts
Open full forecast

News briefing

No generated briefing is available yet.

SeekingAlpha · Aug 10, 2026

Cumberland's Monday Memo

U.S. fixed income and equity markets saw solid gains last week as a surprisingly weak July employment report sparked a rally in Treasuries.

SeekingAlpha · Aug 10, 2026

Two Market Signals, One Story

Analysts are raising earnings forecasts even as long-term government bond yields rise. These aren't contradictory signals. Both are consistent with the structural changes reshaping markets.

SeekingAlpha · Aug 5, 2026

5 Trends Shaping The Future Of Private Credit

In this article, we explore five key trends shaping private credit’s outlook and why transparency and standardization will be the bedrock of its next era. Read more here.

AI research layers

Interpretive context generated from the platform’s current data sources.

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