The AdvisorShares Pure Cannabis ETF (YOLO ) is an actively managed exchange-traded fund focused on providing exposure to the global cannabis industry. Launched in 2019, it was among the first actively managed ETFs in the cannabis sector. The fund invests in companies across various segments of the cannabis industry, including cultivators, pharmaceuticals, healthcare, hemp, and ancillary businesses. YOLO ‘s active management approach allows it to adapt to the rapidly evolving regulatory landscape and market opportunities in the cannabis sector, differentiating it from passive cannabis ETFs.
Basic Information
Parameter Value Notes Launch Date April 17, 2019 AdvisorShares Assets Under Management ~$50-100M Variable Expense Ratio 0.75% Active management Management Style Active Portfolio manager discretion Trading Symbol YOLO NYSE Arca Issuer AdvisorShares Active ETF specialist Structure Investment Company 1940 Act fund Rebalance Frequency Dynamic Active decisions
Portfolio Composition
Segment Target Allocation Focus Multi-State Operators 30-40% U.S. cannabis Canadian LPs 20-30% Global markets Pharmaceuticals 10-20% Medical cannabis Ancillary Services 10-20% Support businesses Hemp/CBD 5-15% Legal derivatives
Investment Criteria
Factor Consideration Importance Regulatory StatusLegal compliance Critical Market PositionCompetitive advantage High Financial Strength Balance sheet High Growth PotentialMarket opportunityHigh Management Quality Experience/Strategy Medium
Trading Characteristics
Metric Value Context Average Daily Volume 50-100K shares Moderate liquidity Bid-Ask Spread ~$0.05-0.10 Wider spread Volatility High Emerging sector Market Hours9:30-16:00 ET Regular sessionExtended Hours4:00-20:00 ET Pre/post market
Risk Factors
Risk Type Level Description Regulatory RiskVery High Legal/policy changes Market RiskVery High Emerging industry Liquidity Risk High Trading volume Concentration Risk High Sector focus Political Risk High Policy uncertainty
Usage Applications
Investment Strategies:
Thematic exposure
Growth potential
Sector diversification
Emerging industry
Portfolio Role:
Satellite position
Thematic allocation
High risk/reward
Growth component
Time Horizon:
Best Practices
Position Management:
Implementation:
Limit orders
Position sizing
Entry timing
Cost averaging
Risk Management:
Diversification
Position limits
Regular review
Exit strategy
Segment Focus Opportunity Medical Healthcare Research/Treatment Recreational Consumer Adult use CBD/Hemp Wellness Legal derivatives Ancillary Services Support industry Biotech Research Drug development
Performance Drivers
Factor Impact Description Regulation Very High Legal framework Market Growth High Industry expansion Public Opinion High Social acceptance Research Progress Medium Medical validation Competition Medium Market dynamics
Technical Considerations
Aspect Impact Management Liquidity Trading execution Size management Volatility Price risk Position sizing Sector News Price movement Monitoring Regulatory NewsMarket impactQuick response
Monitoring Requirements
Element Frequency Purpose Regulatory UpdatesDaily Compliance check Company News Daily Portfolio impact Industry Trends Weekly Strategy alignment Performance Review Monthly Position evaluation
Common Mistakes to Avoid
Investment Errors:
Over-allocation
Poor timing
Emotion-driven
Inadequate research
Risk Management:
Ignoring regulation
Over-concentration
Poor monitoring
No exit plan
Implementation:
Market orders
Illiquid positions
Poor execution
Cost ignorance
Aspect Impact Requirements Federal Law Critical Compliance focus State Laws High Operating environment Banking RulesHigh Financial services International Medium Global markets
Industry Metrics
Metric Purpose Importance Sales Growth Market expansionHigh Market ShareCompetitive position Medium Regulatory StatusLegal compliance Critical Research Pipeline Future potential Medium
Note: Data and statistics are approximate as of early 2024. Cannabis industry investments involve significant risks including regulatory , political, and market risks. Suitable for investors with high risk tolerance and long-term perspective.