EA Series Trust Alpha Architect High Inflation and Deflation ETF

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About HIDE

HIDE is an actively managed fund that dynamically allocates its assets to US Treasury bonds, real estate, and commodities. The fund shifts exposure based on momentum and trend-following factors. 

Category
Equity Hedged
CategoryEquity Hedged
Number of holdings
7
Number of holdings7
Inception Date
Nov 16, 2022
Inception DateNov 16, 2022

What's in this fund

Sectors

As of May 1, 2026
Real Estate99.24%
Communication Services0.60%
Energy0.13%
Industrials0.03%

Top Holdings (99.86% of total assets)

As of May 1, 2026
NameSymbol% Assets
Schwab Intermediate-Term US Treasury ETFSCHR48.65%
abrdn Blmb AllCmdStrK1Fr ETFBCI25.63%
Vanguard US REIT fundVNQ13.19%
United States Treasury Bills 0%11.79%
First American Government Obligs X0.60%

HIDE Key Statistics

AUM
121.04M
AUM121.04M
Price-Earnings ratio
Price-Earnings ratio
30-Day yield
4.80
30-Day yield4.80
Average volume
36.68K
Average volume36.68K
High today
$24.40
High today$24.40
Low today
$24.36
Low today$24.36
Open price
$24.36
Open price$24.36
Volume
6.06K
Volume6.06K
52 Week high
$24.70
52 Week high$24.70
52 Week low
$22.47
52 Week low$22.47
Expense ratio
0.34
Expense ratio0.34

Stock Snapshot

EA Series Trust Alpha Architect High Inflation and Deflation ETF(HIDE) stock is priced at $24.38, giving the company a market capitalization of 125.8M.

On 2026-05-27, EA Series Trust Alpha Architect High Inflation and Deflation ETF(HIDE) stock moved within a range of $24.36 to $24.40. With shares now at $24.38, the stock is trading +0.1% above its intraday low and -0.1% below the session's peak.

Trading volume for EA Series Trust Alpha Architect High Inflation and Deflation ETF(HIDE) stock has reached 6.06K, versus its average volume of 36.68K.

The stock's 52-week range extends from a low of $22.47 to a high of $24.70.

The stock's 52-week range extends from a low of $22.47 to a high of $24.70.

Average Annual Return

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All investments involve risks, including the loss of principal. Performance data represents past performance and is no guarantee of future results. Investment returns and principal value will fluctuate and are subject to market volatility. An investment, when redeemed, may be worth more or less than the original cost. Current performance may be lower or higher than the performance data quoted. Options are risky and aren’t suitable for all investors. To learn more about risks, read the Options Disclosure Document.