Hot or Cold

OMFL stock sentiment todayInvesco Russell 1000 Dynamic Multifactor ETF

Sentiment verdict

Gossip first, financials second — HOT at 85% confidence.

Last updated · cached analysis, refreshes periodically

CBOE

OMFL

Invesco Russell 1000 Dynamic Multifactor ETF
69.88 USD 0.60%vs. session open
Live · market openQuote as of Sep 9, 06:15 AM UTC
Dividend 0.80% yield · 0.56 USD/sh
HOT85% confidenceSign in to save

A high-alpha, rules-based ETF that dynamically pivots between factors to outperform the S&P 500 across changing economic regimes.

Analyzed Sep 8, 2026, 08:15 AM UTC·Quote: CNBC / Yahoo Finance·News: Google News·AI: Lovable AI (google/gemini-3-flash-preview)
ToneOMFL is HOT — A high-alpha, rules-based ETF that dynamically pivots between factors to outperform the S&P 500 across changing economic regimes. 6-month call: USD75.06 (+7.4%).
6-month price prediction
USD75.06 7.4%by Mar 2027
85% model confidence
Bear USD68.43Now USD69.88Bull USD81.70
Crowd call · 6 months
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🔒 Full prediction model breakdown

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Full model breakdown (analyst / gossip / momentum weights) is a Pro feature. Modelled for OMFL. Not financial advice.

02·a

Price · last 12 months

57.2871.42 USD
Growth
1W
-0.5%
1M
-0.4%
3M
+4.4%
6M
+14.0%
YTD
+14.4%
1Y
+18.8%
01

Gossip

bullish

The fund is a 'fin-fluencer' favorite among factor-investing circles for its active-like performance at a passive price point. Current chatter focuses on its ability to rotate out of expensive mega-cap tech into value and quality as interest rate paths become clearer.

  • ·Economic regime shifting from recovery to expansion
  • ·Outperformance relative to the Russell 1000 benchmark
  • ·High investor interest in 'smart beta' over pure index tracking
02

Financial

strong

OMFL uses a proprietary model to target five factors (Value, Quality, Momentum, Low Volatility, Size). Its dynamic rebalancing allows it to maintain a lower P/E ratio than the S&P 500 while capturing higher Return on Equity (ROE) through its quality screens.

  • ·Expense Ratio: 0.29%
  • ·Price-to-Earnings (P/E): ~16.5x (vs ~22x for SPY)
  • ·High Alpha production since inception (2017)
03

Risks

watch
  • ·High turnover strategy can lead to tax inefficiencies in non-qualified accounts
  • ·Underperformance if market remains dominated by a few 'Magnificent 7' stocks
  • ·Complexity of the underlying economic signal model

AI-generated analysis for informational purposes only. Not financial advice.