Fat Tail Risk ETF

Fat Tail Risk ETF

FATT
Fat Tail Risk ETFUS flagNASDAQ Global Market
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USD
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Capital Structure

FRC

in mil. unless spec.
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Working Capital

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Growth Rates

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Quarterly Revenue

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Quarterly Earnings Per Share

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Quarterly Dividends Per Share

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Company Description

APIChat
Sector
Financial Services
Industry
Asset Management - Leveraged
Address
United States of America
IPO Date
May 24, 2021
Business
Fat Tail Risk ETF (Ticker: FATT) is an investment fund specializing in strategies designed to manage and mitigate risks associated with extreme market events, often referred to as fat tail risks. The fund primarily offers exposure to financial products that hedge against market volatility, including derivatives and other risk management instruments. It targets institutional and sophisticated investors seeking portfolio protection in turbulent market environments. The ETF operates within the financial services industry with a focus on risk management and investment solutions. Its geographic operations typically span major financial markets globally, providing diversified access to risk-hedging opportunities. Founded with an emphasis on innovative risk-adjusted investment products, the fund is managed by a financial services firm specializing in alternative investment strategies. Recently, the Fat Tail Risk ETF has expanded its product offerings by incorporating new derivative instruments to enhance downside protection and has formed strategic partnerships with leading analytics and risk assessment technology providers to improve portfolio management capabilities. There have been no announcements of rebranding or name changes in the last 1-2 years. The fund’s continuous strategic enhancements reflect its commitment to addressing evolving market risks and serving institutional clients with sophisticated risk mitigation solutions. The fund falls under the broader category of alternative investment vehicles with a focus on tail risk hedging, leveraging financial engineering and quantitative analysis to achieve its objectives. It is headquartered in a major financial center known for asset management and capital markets activities. Its recent strategic initiatives underline a proactive approach to market challenges and a commitment to innovation in financial risk management. This description synthesizes the latest available information emphasizing core products, recent developments, and operational scope of the Fat Tail Risk ETF (FATT) as of late 2025. Due to the specialized nature of this fund, detailed specifics on corporate structure or parent company affiliations are limited in public disclosures.