Components Hartford Multifactor Emerging Markets ETF - USD

ETF

ROAM

US5184162015

Market Closed - Nyse 01:40:00 22/05/2024 am IST 5-day change 1st Jan Change
24.53 USD +0.03% Intraday chart for Hartford Multifactor Emerging Markets ETF - USD +2.17% +9.71%

Composition of Hartford Multifactor Emerging Markets ETF - USD

Weight
8.512 PLN -0.91%+1.04%+4.57%0.24%
86.9 ZAR +2.24%+2.45%-24.76%0.24%
3.59 MYR -1.64%+21.28%+32.96%0.24%
308.6 INR -1.15%+1.45%+38.60%0.24%
2.82 MYR -0.35%-0.70%+20.00%0.23%
1,218 INR +4.57%+4.25%+12.38%0.22%
2,156 INR -1.31%+1.01%+6.46%0.22%
44,300 KRW +0.23%-1.77%-2.42%0.22%
434.8 INR -0.34%+1.19%-5.91%0.22%
79.2 TWD +1.67%+1.15%+6.31%0.21%
77.65 HKD +2.10%-2.81%+32.17%0.21%
2,570 IDR -12.29%-11.99%+5.33%0.21%
2,220 TWD -4.10%-3.48%-22.65%0.21%
72.9 TWD -1.22%+2.39%+12.50%0.21%
1,175 TWD -1.26%+1.73%+15.76%0.21%
5.49 MYR -0.72%-0.18%+0.73%0.21%
1,83,200 KRW -0.43%-0.65%-18.21%0.20%
2,373 INR +2.68%+3.19%-13.41%0.20%
217.4 HKD +0.18%-2.61%+0.75%0.20%
1,48,400 KRW -2.05%-1.07%+14.59%0.20%
37.75 TWD -2.08%+4.72%+33.16%0.20%
63.5 TWD +0.32%-2.01%-18.59%0.20%
35,238 INR -0.97%+0.02%-8.50%0.20%
14,870 KRW +0.88%+2.98%+14.38%0.19%
18.3 MYR 0.00%+0.99%+5.17%0.19%
17,010 KRW -3.08%-5.55%-13.13%0.19%
323.5 MXN 0.00%-1.14%+3.98%0.18%
17.9 TWD -1.65%+0.85%-1.38%0.18%
529 TWD -0.38%-1.31%+12.20%0.18%
1,06,700 KRW -3.44%+2.50%+27.48%0.18%
47.31 USD -3.25%-4.44%-21.44%0.18%
63,400 KRW -1.40%+3.26%+46.08%0.18%
67.4 TWD -1.03%-1.46%-14.90%0.17%
119.5 HKD -1.57%-3.66%+47.74%0.17%
14.15 TWD -1.74%+0.35%+12.75%0.17%
1,53,900 KRW -1.60%+4.20%+15.80%0.17%
263 ZAR +0.66%+1.55%-4.38%0.17%
55.7 TWD -2.62%-1.94%-16.24%0.17%
491.7 INR +11.08%+13.67%+90.18%0.16%
16.4 HKD +0.24%-2.73%-22.10%0.16%
90.6 TRY +4.02%+9.03%+61.50%0.16%
9f144.pO1S7_qmpAIloWD6dvkMaCnOfX7UC5NWW7BFQKq3YH4.xcBmlbHq9EV_7Q6vQMtZRVuCDCGkY_gAdtMECeXfLSzemmHYn8jwNVf1Cw

ETF Ratings

Description

US5184162015
Total Expense Ratio 0.44%
Asset Class
Sector
Size
Currency
Provider
Underlying Hartford Multifactor Emerging Markets Equity GTR Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
24/02/2015
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/04/2024 )

AuM (EUR) 19 M€
AuM 1M 18 M€
AuM 3 months 17 M€
AuM 6 months 17 M€
AuM 12 months 17 M€
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