American Beacon AHL Trend ETF (AHLT)

The Fund’s investment objective is capital growth.

NAV Change (Daily) -$0.01 (-0.04%) as of 12/04/2025
NAV $25.80 as of 12/04/2025
Market Price Change (Daily) -$0.11 (-0.41%) as of 12/04/2025
Market Price $25.73 as of 12/04/2025

Overview

ONE OF THE WORLD’S LARGEST INDEPENDENT ALTERNATIVE INVESTMENT MANAGERS
Founded in London in 1783, Man Group (“Man”), AHL’s parent company, is one of the largest publicly listed global hedge fund providers in the world. Worldwide, Man boasts more than 300 dedicated investment professionals. AHL’s assets under management include a large institutional capital base, including endowments, insurance companies, pension funds and sovereign wealth funds.

Firm inception: 1987

Portfolio managers:

  • Russell Korgaonkar; industry since 2001
  • Giuliana Bordigoni; industry since 2007

ROBUST STATISTICAL RESEARCH
The ETF will seek to capitalize on the price trends in a broad range of more than 20 global markets. Reflecting the core of AHL’s investment philosophy, the ETF is 100% systematic, with no subjective buy or sell decisions. Trend-following strategies have low correlation with traditional asset classes, making them a potentially powerful diversifier for any portfolio. Over time, trend-following products have demonstrated these characteristics:

  • Low correlations to other asset classes
  • Potential to profit in rising and falling markets

Period Days Traded at Premium Days Traded at Discount
Q4 2025 23 23
Q3 2025 32 31
Q2 2025 24 38
Q1 2025 39 21
2024 137 115
Fund Details as of 12/04/2025
Sub-advisor %
AHL Partners LLP100%
Ticker AHLT
CUSIP 02368W309
ISIN US02368W3097
Exchange NYSE Arca, Inc.
Inception Date 8/30/2023
Number of Holdings 204
Shares Outstanding 2,025,001
Expense Ratio (%) 0.95%
Median Bid / Ask Spread 0.2%
Premium / Discount -0.243068%

Premium/Discount

Market Price: The price at which Fund shares are bought and sold, which may be below, at, or above NAV. The Market Price Returns are calculated based on the Fund’s official closing price on the listing exchange.

NAV: The dollar value of a single share of the Fund, calculated using the value of the underlying assets of the Fund minus its liabilities, divided by the number of shares outstanding. Calculated at the end of each business day.

Expense Ratio (%): The Fund’s total annual operating expenses as a percentage of your investment. You may pay other fees, such as brokerage commissions and other fees to financial intermediaries, which are not reflected in the expense ratio.

30-Day Median Bid/Ask Spread: The midpoint of the differences between the “bid” price (what investors are willing to pay) and the “ask” price (at which they are willing to sell Fund shares) on the listing exchange over the last 30 calendar days.

Discount/Premium: The negative or positive difference between the market price and NAV at the time as of which the NAV is calculated, expressed as a percentage of NAV. The table shows the number of days the Fund traded at a premium, at a discount, or at NAV during various periods. The line graph shows the discount (negative) and the premium (positive) amount on the vertical axis and the date on which the premium/discount occurred on the horizontal axis.

Correlation: Correlation is a measure of how two assets perform in relation to each other. Assets that are strongly correlated (with a measure near 1) tend to move together, while uncorrelated assets (with a measure near -1) tend to move in opposite directions.

Long/Short: The value of a long position in an asset moves in the same direction as its market price. The value of a short position in an asset moves in the opposite direction as its market price.

Trend-Following Strategy: A systematic, rules-based investment strategy that can generally go long or short futures contracts across equities, fixed income, commodities, and foreign-exchange markets.

All investing involves risk, including possible loss of principal. The Fund is actively managed, and there can be no assurances that its investment objectives will be met. Derivative instruments, including futures contracts and foreign currency forward contracts, may be highly sensitive to market factors, have less liquidity than other investments and involve the potential for losses to exceed the amount invested. Futures contracts may not produce the desired results due to lack of correlation with the underlying assets. The Fund’s ability to invest long and short in a trend-following strategy does not assure that the Fund can avoid losses. Diversification does not assure a profit nor protect against loss. Investing in foreign markets may involve heightened risk due to currency fluctuations and economic and political risks. Quantitative models may not perform as expected and may result in losses for the Fund. The Fund may distribute higher capital gains than other ETFs. Regulatory changes may impair the Fund’s ability to qualify for federal income tax treatment as a regulated investment company, which could result in the Fund and shareholders incurring significant income tax expense. Because the Fund may invest in fewer issuers than a more diversified portfolio, the fluctuating value of a single holding may have a greater effect on the value of the Fund. Please see the prospectus for a complete discussion of the Fund’s risks.

Performance shown is historical and is not indicative of future returns. Investment returns and principal value will vary, and shares may be worth more or less at redemption than at original purchase. Performance shown is as of date indicated, and current performance may be lower or higher than the performance data quoted.

Performance

Performance shown is historical and is not indicative of future returns. Investment returns and principal value will vary, and shares may be worth more or less at redemption than at original purchase. Performance shown is as of date indicated, and current performance may be lower or higher than the performance data quoted.

as of 10/31/2025 Cumulative Average Annual
YTD 1 MO 3 MO 1 YR 3 YR 5 YR 10 YR Since Inception
NAV 6.89% 3.46% 15.16% 12.58% N/A N/A N/A 3.92%
Market Price 6.92% 3.45% 15.66% 12.61% N/A N/A N/A 3.99%
as of 9/30/2025 Cumulative Average Annual
YTD 1 MO 3 MO 1 YR 3 YR 5 YR 10 YR Since Inception
NAV 3.32% 7.47% 9.31% 3.32% N/A N/A N/A 2.40%
Market Price 3.35% 7.79% 9.64% 3.40% N/A N/A N/A 2.48%

Returns for less than one year are cumulative and not annualized. Short-term performance, in particular, is not a good indication of the Fund’s future performance, and an investment should not be made based solely on returns. Net asset value (“NAV”) returns are based on the dollar value of a single share of the Fund, calculated using the value of the underlying assets of the Fund minus its liabilities, divided by the number of shares outstanding. Market price returns are based on the official closing price on the NYSE Arca, Inc. Market price performance does not represent the returns you would have received if you traded shares at other times. Total Return reflects reinvestment of distributions on ex-date for NAV returns and payment date for market price returns. The Fund’s shares are bought and sold at current market prices (and not at NAV), and market price may differ significantly from NAV during periods of market volatility.

Portfolio

Top 10 Holdings by Percent (As of 12/04/2025)

Ticker Description Weight Market Value CUSIP/Identifier Shares/Quantity Notional Value
TREASURY BILL 03/26 0.00000 28.06% $3,168,938 912797SB4 3,200,000.00 $3,168,938
TREASURY BILL 03/26 0.00000 21.93% $2,477,336 912797RV1 2,500,000.00 $2,477,336
TREASURY BILL 04/26 0.00000 17.96% $9,380,244 912797SL2 9,500,000.00 $9,380,244
TREASURY BILL 01/26 0.00000 17.55% $9,168,588 912797RH2 9,200,000.00 $9,168,588
TREASURY BILL 01/26 0.00000 16.74% $1,890,808 912797PD3 1,900,000.00 $1,890,808
TREASURY BILL 03/26 0.00000 15.17% $7,922,344 912797SB4 8,000,000.00 $7,922,344
TREASURY BILL 03/26 0.00000 15.16% $7,917,262 912797PV3 8,000,000.00 $7,917,262
TREASURY BILL 03/26 0.00000 9.63% $1,087,860 912797SC2 1,100,000.00 $1,087,860
US DOLLAR 7.64% $3,988,588 999USDZ92 3,988,587.74 $3,988,588
TREASURY BILL 05/26 0.00000 6.97% $787,259 912797QN0 800,000.00 $787,259

Top Active Exposures by Asset Class

as of 9/30/2025

Commodities % of VaR
Gold Long 10.4%
Silver Long 9.5%
Crude Oil Long 8.5%
Copper Long 5.8%
Currencies % of VaR
EUR/USD Long/Short 5.3%
AUD/USD Long/Short 4.6%
JPY/USD Short/Long 4.1%
GBP/USD Long/Short 3.7%
CAD/USD Short/Long 3%
Equities % of VaR
S&P 500 Index Long 8.4%
NASDAQ 100 Index Long 5.2%
FTSE 100 Long 4.5%
Euro-STOXX Long 4.1%
Russell 2000 Index Long 3.9%
Fixed Income % of VaR
U.S. Treasuries Long 8.3%
Gilts Short 1.6%
Euro-BUND Short 1.4%
Euro-BOBL Short 0.6%

Holdings Summary

as of 9/30/2025

Number of Currency Pairs 7
Number of Long Holdings 12
Number of Short Holdings 3

Excludes cash equivalents and U.S. Treasury bills.

Top Ten Holdings

as of 9/30/2025

Holding % of VaR
Gold Long 10.4%
Silver Long 9.5%
Crude Oil Long 8.5%
S&P 500 Index Long 8.4%
U.S. Treasuries Long 8.3%
Copper Long 5.8%
EUR/USD Long/Short 5.3%
NASDAQ 100 Index Long 5.2%
AUD/USD Long/Short 4.6%
FTSE 100 Long 4.5%

Asset Class Exposure

as of 9/30/2025

Asset Class % of VaR
Commodities 39.4%
Stocks 39.2%
Currencies 11.7%
Bonds and Rates 9.8%

Holdings are subject to change without notice. The amounts shown under Weight, Market Value and Notional Value are calculated using third-party pricing sources and do not reflect any fair valuation adjustments made by American Beacon in determining the Fund’s NAV. In addition, the values shown for holdings denominated in non-U.S. currencies may have been converted to U.S. dollars using foreign exchange rates as of a different time than used for purposes of determining the NAV.

Value at Risk (VaR) is a measure of the potential loss in value of a portfolio over a defined period for a given confidence interval. A one-day VaR at the 95% confidence level represents that there is a 5% probability that the mark-to-market loss on the portfolio over a one day horizon will exceed this value (assuming normal markets and no trading in the portfolio).

This information must be preceded or accompanied by a prospectus or summary prospectus. Click here to view or download a prospectus or summary prospectus. Read it carefully before you invest.

For more information about the risks associated with each fund, visit the “Risk Disclaimers” page or read the prospectus.

Foreside Financial Services, LLC is the distributor of the American Beacon ETFs and is not affiliated with American Beacon or its sub-advisors. American Beacon is a registered service mark of American Beacon Advisors, Inc. American Beacon AHL Trend ETF is a service mark of American Beacon Advisors, Inc.

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