Components First Trust Horizon Managed Volatility Domestic ETF - USD

ETF

HUSV

US33739P8894

Delayed Nyse 12:57:20 2024-06-27 EDT 5-day change 1st Jan Change
35.47 USD -0.22% Intraday chart for First Trust Horizon Managed Volatility Domestic ETF - USD -0.55% +5.71%

Composition of First Trust Horizon Managed Volatility Domestic ETF - USD

Weight
195.1 USD +0.52%+1.58%+18.16%2.56%
63.84 USD -0.34%+2.61%+8.27%2.43%
563.8 USD +1.13%+0.88%+3.48%2.30%
145.6 USD -0.82%-1.49%-7.12%2.27%
67.21 USD +0.07%-1.87%+35.50%2.27%
110.6 USD +0.02%+0.07%+17.75%2.22%
212.8 USD +0.04%+1.93%+18.81%2.17%
257.9 USD +0.03%+1.54%-13.09%2.16%
270 USD -1.32%-2.49%+3.68%2.11%
213.7 USD +0.22%+2.05%+11.14%2.10%
385.1 USD +0.23%+0.13%+23.00%2.06%
166.2 USD -0.72%-0.97%+13.31%2.01%
47.18 USD +0.69%+1.09%-6.51%1.99%
211.2 USD +0.19%-1.84%+11.39%1.97%
177 USD +0.37%+0.24%+10.32%1.97%
75.11 USD +0.36%-1.83%+7.85%1.92%
179.4 USD +0.17%-0.77%-12.85%1.89%
98.11 USD -0.12%+1.02%+22.87%1.87%
227.8 USD -4.01%-3.86%+10.33%1.79%
132.2 USD +0.19%-1.51%+1.12%1.78%
170.6 USD +0.79%+0.52%-4.67%1.69%
171.4 USD -0.27%-1.48%+4.77%1.62%
89.13 USD +0.79%-0.32%-24.74%1.56%
68.08 USD -0.30%+0.11%+29.56%1.46%
166.3 USD -0.25%-0.36%-2.21%1.44%
139 USD -0.13%-0.98%+14.18%1.43%
214.5 USD +0.52%+0.21%+2.33%1.33%
100.5 USD +0.53%+0.25%+3.41%1.28%
195.1 USD -0.05%-1.66%-7.32%1.25%
262 USD +0.77%-1.71%+15.89%1.22%
33.16 USD +0.44%-0.50%-4.40%1.20%
101.7 USD -0.29%+0.36%+7.95%1.18%
19.7 USD -0.18%-0.53%+11.65%1.18%
116.3 USD +0.18%-0.85%+0.24%1.18%
199.2 USD +0.92%+0.28%+17.12%1.17%
168.4 USD -1.61%-2.35%+8.47%1.16%
237.1 USD -0.75%-2.34%-9.28%1.15%
128.5 USD -2.30%-0.84%+17.94%1.14%
77.8 USD -0.53%-1.45%+10.85%1.14%
167.2 USD +0.39%-0.77%+1.42%1.13%
271.3 USD +0.55%+1.18%+13.56%1.13%
95.92 USD +0.18%-0.64%+7.28%1.08%
149.3 USD -0.30%-0.45%+12.37%1.07%
709.4 USD +0.27%+0.25%+17.53%1.05%
138.6 USD -0.02%+0.03%+0.26%1.05%
446.5 USD -1.29%-1.37%+4.64%1.05%
293.2 USD -0.44%-2.15%+12.91%1.02%
466.8 USD -0.03%+0.12%+3.02%1.02%
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Description

US33739P8894
Total Expense Ratio 0.70%
Asset Class Actions
Sector
Size
Currency
Provider

Features and characteristics

Dividend Policy Distribution
Jurisdiction
Fund Structure
Date of creation
2016-08-23
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-05-30 )

AuM (EUR) 78 M€
AuM 1M 78 M€
AuM 3 months 81 M€
AuM 6 months 80 M€
AuM 12 months 92 M€
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