Don't Let Emotions Lead You Astray
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Emotional Roller Coaster of Cannabis Investing
Emotion can play a huge role in magnifying the swings in investment markets.
The key for cannabis investors is not to get sucked into this emotional roller coaster.
Doing this is easier said than done which is why many cannabis investors may end up getting wrong footed in the investment cycle.
When an investment cycle turns down, euphoria gives way to anxiety, denial, capitulation and ultimately depression.
At this point cannabis stocks are unloved, undervalued and at the point of maximum financial opportunity. 
Don't let emotions lead you astray from long-term goals. 
AdvisorShares Cannabis Investing
Invests in U.S. cannabis
Easy access to U.S. cannabis multi-state operators
Invests in global cannabis
Access to companies primarily focused on cannabis
Invests in global cannabis & companies supporting it
Selectively uses leverage to amplify exposure to favored cannabis companies
  AdvisorShares Cannabis ETF Advantages:
U.S. Cannabis Operators - All offer exposure to multi-state or single-state U.S. operators. 
Opportunistic – All may invest in mid and small cap companies and new cannabis equity IPOs, which may benefit from merger and acquisition activity as the market evolves.
Active Management – Can adjust the portfolio more quickly and opportunistically than a passive index-based strategy that must wait for periodic rebalancing.
We Know Your Time Is Valuable
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to an ADVISORSHARES Portfolio Manager or Investment Consultant.
An Investment Consultant can be reached at 1.877.843.3831 to discuss our actively managed ETF offerings.
We are able to assist with special order handling to ensure that you receive the best trading execution.
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ADVISORSHARES |  1.877.843.3831 | | Electronic mail policy
 For Institutional Investor Use Only. Not for Public Distribution. -
Before investing you should carefully consider the Fund’s investment objectives, risks, charges and expenses. This and other information is in the prospectus, a copy of which may be obtained by visiting the Fund’s website at Please read the prospectus carefully before you invest. Foreside Fund Services, LLC, distributor.
The Fund(s) is subject to a number of risks that may affect the value of its shares. This section provides additional information about the Fund’s principal risks. The degree to which a risk applies to the Fund varies according to its investment allocation. Each investor should review the complete description of the principal risks before investing in the Fund. As with investing in other securities whose prices increase and decrease in market value, you may lose money by investing in the Fund.
Cannabis-Related Company Risk: Cannabis-related companies are subject to various laws and regulations that may differ at the state/local and federal level. These laws and regulations may (i) significantly affect a cannabis-related company’s ability to secure financing, (ii) impact the market for marijuana industry sales and services, and (iii) set limitations on marijuana use, production, transportation, and storage. Cannabis-related companies may also be required to secure permits and authorizations from government agencies to cultivate or research marijuana. In addition, cannabis-related companies are subject to the risks associated with the greater agricultural industry, including changes to or trends that affect commodity prices, labor costs, weather conditions, and laws and regulations related to environmental protection, health and safety. Cannabis-related companies may also be subject to risks associated with the biotechnology and pharmaceutical industries. These risks include increased government regulation, the use and enforcement of intellectual property rights and patents, technological change and obsolescence, product liability lawsuits, and the risk that research and development may not necessarily lead to commercially successful products.
Leverage Risk: Leverage is investment exposure that exceeds the initial amount invested. The loss on a leveraged investment may far exceed the Fund’s principal amount invested. Leverage may magnify the Fund’s gains and losses and, therefore, increase volatility. The use of leverage may result in the Fund having to liquidate holdings when it may not be advantageous to do so.

IPO Risk: The Fund may invest in securities offered in IPOs or in companies that have recently completed an IPO. The market value of IPO shares can have significant volatility due to factors such as the absence of a prior public market, unseasoned trading, a small number of shares available for trading and limited information about the issuer.
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