Munificent Seven ETF
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About the company
Munificent Seven ETF is an actively managed exchange-traded fund that seeks long-term capital growth by providing concentrated exposure to seven major global energy companies positioned to benefit from the growing power and infrastructure requirements of artificial intelligence. The fund invests primarily in ExxonMobil, Chevron, ConocoPhillips, Shell, TotalEnergies, BP, and Equinor, which it collectively refers to as the “Munificent Seven.” The fund focuses on companies involved in energy production and infrastructure that may benefit from increasing electricity demand associated with AI data centers and other energy-intensive technologies.
- CEO
- Mark Allen
- IPO
- 2026
- HQ
- Chicago, IL, US
AI snapshot
Six angles, distilled from the data.
BBLS is still in a tight, low-volatility range after a longer drift below its 200-day average of about 24.88. The shares sit well off the 52-week high of 26.08 but above the 52-week low of 23.91, pointing to a range-bound setup rather than a confirmed trend.
No published consensus, price target, or recent rating changes are on record, so there is no Street signal to anchor on. The setup is being driven by market action alone, with no visible shift in analyst sentiment.
No earnings date, estimates, or historical beat pattern are available, so there is no clear catalyst calendar to trade around. Shareholders should watch for any update that clarifies distribution stability, asset flows, or expense trends.
No recent insider transactions were reported, so there is no discretionary buying or selling signal to read. With no activity on file, insider behavior is not adding conviction to the setup.
Profitability, growth, cash flow, and leverage metrics are not disclosed here, leaving the fundamental picture largely opaque. The only hard operating read is size: a roughly $8.1 million market cap, which keeps this a very small vehicle with limited margin for error.
As an ETF trust, BBLS is best judged on structure and positioning rather than operating margins or earnings power. Relative to the broader ETF complex, it screens as a niche, small-capitalization product with no visible valuation benchmark from analyst coverage.
- Market Cap
- $8.14M
- P/E
- -2991.54
- PEG
- 18.00
- P/S
- 1.20
- P/B
- -1576.67
- EV/EBITDA
- -12.28
- Div Yield
- 0.00%
- Gross Margin
- -2.64%
- Op Margin
- -15.35%
- Net Margin
- -21.35%
- ROE
- 75.98%
- ROIC
- 1800.38%
- 52W High
- $26.08
- 52W Low
- $23.91
- 50D MA
- $24.87
- 200D MA
- $24.87
- Beta
- -0.88
- RSI (14)
- 46
- Avg Volume
- 10.84K
No earnings-call transcripts are available for BBLS yet.
- Free Float
- —
- Shares Outstanding
- 330.00K
- Float Shares
- 92.69M
Our BBLS coverage
Recent articles, reports, and earnings notes.
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AI analysis · Last refreshed October 4, 2026 · Live quote · Not investment advice
