Components Hartford Multifactor Emerging Markets ETF - USD

ETF

ROAM

US5184162015

Market Closed - Nyse 04:10:00 2024-05-08 pm EDT 5-day change 1st Jan Change
23.77 USD +0.06% Intraday chart for Hartford Multifactor Emerging Markets ETF - USD +2.62% +6.32%

Composition of Hartford Multifactor Emerging Markets ETF - USD

Weight
53.48 PLN +0.15%+3.56%+13.14%1.05%
81,300 KRW 0.00%+4.90%+3.57%1.00%
51.2 TRY -0.49%-1.06%+11.85%0.97%
458.5 TWD -0.33%+6.63%-6.33%0.96%
3.62 HKD +1.12%+4.02%+21.48%0.96%
4.35 HKD +1.40%+2.84%+13.87%0.93%
5.28 HKD +1.54%+2.92%+13.55%0.93%
3.56 HKD +0.28%+4.71%+18.27%0.92%
178,000 KRW -0.89%+2.18%+25.80%0.90%
3,965 INR -0.31%+2.53%+4.42%0.89%
68.28 PLN +0.63%+3.25%+4.24%0.84%
10.22 HKD +8.72%+12.43%-6.41%0.83%
36 TWD +1.12%+0.56%-9.66%0.73%
5.74 HKD +0.53%+3.80%+17.86%0.73%
7.34 HKD +0.82%+3.38%+42.25%0.73%
4.83 HKD 0.00%+4.55%+18.09%0.72%
81.6 TWD -1.33%+2.26%+16.24%0.72%
44.86 TRY -0.80%+0.63%+9.51%0.72%
116,000 KRW +0.26%-1.69%+16.00%0.71%
34.4 HKD -0.15%+5.52%+28.60%0.69%
101.5 TWD +2.42%+1.50%-13.25%0.68%
66.5 MXN +1.48%+4.04%-7.08%0.68%
91,700 KRW -1.08%+2.57%+5.52%0.67%
420.5 TRY +0.12%+4.15%+39.82%0.67%
4.21 HKD +1.69%+3.19%+12.87%0.66%
10,080 KRW +1.82%+2.34%-1.47%0.66%
444.2 INR -4.35%-2.12%+18.16%0.65%
12,501 INR -0.34%-2.40%+21.32%0.64%
605 TWD -5.47%-2.10%+17.02%0.63%
1,323 INR +0.69%-2.77%-9.76%0.62%
5,125 IDR +1.49%-0.49%-9.29%0.61%
4.63 HKD +0.87%+3.58%+25.82%0.60%
46.94 BRL -5.63%-0.84%-12.16%0.60%
0.94 HKD +1.08%+2.17%+14.63%0.60%
18.96 HKD +2.38%+1.94%+5.10%0.59%
14.72 HKD +1.10%-2.00%+6.98%0.58%
1,420 IDR -1.73%-2.41%-11.80%0.57%
7.76 HKD +2.37%+2.37%-0.51%0.56%
9.8 MYR -0.41%+0.72%+10.24%0.56%
3,709 ZAR -0.49%+2.82%+18.58%0.55%
1f82442780b55a945d7a5e693118.2-yBxdd_DwN9bOkXJrPLh-I4Eg5qPt6bTm4qJPj6hIs.r57OleEwXGURH7ZNbfuv9tFOJXwYabfjNENZXZHNy_LtlemLkFJDWQhesA

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
2015-02-24
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 0 M€
AuM 1M 0 M€
AuM 3 months 0 M€
AuM 6 months 0 M€
AuM 12 months 0 M€
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