Historical Stock Price
GSY historical stock prices picture
Invesco Actively Managed Exchange Traded Fund Trust - Ultra Short Duration ETF (GSY) has the following price history information. Looking back at GSY historical stock prices for the last five trading days, on March 22, 2024, GSY opened at $49.84, traded as high as $49.86 and as low as $49.84, and closed at $49.85. Trading volume was a total of 580.70K shares. On March 25, 2024, GSY opened at $49.87, traded as high as $49.88 and as low as $49.86, and closed at $49.87. Trading volume was a total of 345.80K shares. On March 26, 2024, GSY opened at $49.87, traded as high as $49.87 and as low as $49.86, and closed at $49.86. Trading volume was a total of 210.10K shares. On March 27, 2024, GSY opened at $49.89, traded as high as $49.90 and as low as $49.88, and closed at $49.89. Trading volume was a total of 737.50K shares. On March 28, 2024, GSY opened at $49.90, traded as high as $49.91 and as low as $49.89, and closed at $49.89. Trading volume was a total of 576.10K shares.

GSY Historical Stock Prices By Date:

GSY historical cagr picture

Below, we examine the compound annual growth rate — CAGR for short — of an investment into Invesco Actively Managed Exchange Traded Fund Trust - Ultra Short Duration ETF shares, starting with a $10,000 purchase of GSY, and working forward through the historical stock price information to today.

Growth of $10,000.00
With Dividends Reinvested

Start date: 04/01/2014
End date: 03/28/2024
Start price/share: $50.25
End price/share: $49.89
Starting shares: 199.00
Ending shares: 246.19
Dividends reinvested/share: $10.65
Total return: 22.82%
Average Annual Total Return: 2.08%
Starting investment: $10,000.00
Ending investment: $12,285.20
Years: 10.00
 
Growth of $10,000.00
Without Dividends Reinvested

Start date: 04/01/2014
End date: 03/28/2024
Start price/share: $50.25
End price/share: $49.89
Dividends collected/share: $10.65
Total return: 20.47%
Average Annual Total Return: 1.88%
Starting investment: $10,000.00
Ending investment: $12,046.68
Years: 10.00
Date Open High Low Close Volume
03/22/2024 $49.84 $49.86 $49.84 $49.85 580.70K
03/25/2024 $49.87 $49.88 $49.86 $49.87 345.80K
03/26/2024 $49.87 $49.87 $49.86 $49.86 210.10K
03/27/2024 $49.89 $49.90 $49.88 $49.89 737.50K
03/28/2024 $49.90 $49.91 $49.89 $49.89 576.10K
Guggenheim Enhanced Short Duration Bond is an open-end management investment company. The Fund seeks maximum current income, consistent with preservation of capital and daily liquidity. The Fund will invest at least 80% of its net assets in fixed income securities utilizing a low duration strategy to seek to outperform the Barclays 1-3 Month U.S. Treasury Bill Index. Under normal circumstances, the Fund holds a diversified portfolio of fixed income instruments of varying maturities, but that have an average portfolio duration of less than one year. As of May 31 2015, the Fund's total assets were $447,427,045 and the Fund's investment portfolio was valued at $442,197,672.
Date Close
03/22/2024$49.85
03/25/2024$49.87
03/26/2024$49.86
03/27/2024$49.89
03/28/2024$49.89
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