Components Hartford Multifactor Emerging Markets ETF - USD

ETF

ROAM

US5184162015

Market Closed - Nyse 16:10:00 2024-04-30 EDT 5-day change 1st Jan Change
23.16 USD -0.95% Intraday chart for Hartford Multifactor Emerging Markets ETF - USD +1.57% +3.60%

Composition of Hartford Multifactor Emerging Markets ETF - USD

Weight
51.28 PLN -2.03%-0.97%+8.48%1.05%
77,500 KRW +1.04%+1.84%-1.27%1.00%
50.4 TRY -1.85%+4.83%+10.00%0.97%
430 TWD +0.94%+3.99%-12.16%0.96%
3.53 HKD -2.75%+3.82%+18.46%0.96%
4.23 HKD +0.71%+3.17%+10.73%0.93%
5.1 HKD +0.59%+4.08%+9.68%0.93%
3.51 HKD -1.68%+0.57%+16.61%0.92%
174,200 KRW -0.97%+1.52%+23.11%0.90%
3,821 INR -1.28%-1.14%+0.72%0.89%
66.44 PLN -2.47%-2.92%+1.44%0.84%
8.93 HKD -0.78%+9.98%-18.22%0.83%
35.8 TWD -1.51%+4.68%-10.16%0.73%
5.66 HKD +1.43%+5.60%+16.22%0.73%
7.38 HKD +1.10%+1.23%+43.02%0.73%
4.72 HKD +1.07%+2.16%+15.40%0.72%
79.8 TWD +1.01%+1.40%+13.68%0.72%
43.06 TRY -1.87%+3.56%+5.02%0.72%
118,000 KRW -0.25%+2.52%+18.00%0.71%
32.7 HKD +1.71%+3.32%+22.24%0.69%
100 TWD -0.99%+3.31%-14.53%0.68%
66.86 MXN +0.60%+4.29%-6.58%0.68%
89,400 KRW -0.45%-1.65%+2.88%0.67%
387 TRY -0.19%+4.59%+28.68%0.67%
4.09 HKD +1.24%+0.49%+9.65%0.66%
9,850 KRW -0.51%+1.34%-3.71%0.66%
454.3 INR +0.23%+2.56%+20.82%0.65%
12,818 INR +1.01%+0.25%+24.41%0.64%
618 TWD -1.12%+7.67%+19.54%0.63%
1,367 INR -1.50%-6.77%-6.79%0.62%
5,150 IDR +2.49%+4.04%-8.85%0.61%
4.6 HKD +2.91%+6.24%+25.00%0.60%
47.34 BRL -1.23%-1.87%-11.41%0.60%
0.92 HKD -.--%+3.37%+12.20%0.60%
18.26 HKD -2.25%+5.18%+1.22%0.59%
14.58 HKD +0.41%+24.83%+5.96%0.58%
1,455 IDR +3.56%+3.56%-9.63%0.57%
7.47 HKD -1.45%+5.06%-4.23%0.56%
9.73 MYR -0.21%-0.10%+9.45%0.56%
3,607 ZAR -0.27%+5.12%+15.33%0.55%
5977.I2Bn6GxdSetG3nodwnCbdxotCOPd6ChVIXDfoPExtNM.dQJR2B0rebQW6At3tTPZQl51TdOOuh5sURarzIly-pV6VA2aNTwPqSuNIw

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 ( 2024-03-27 )

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