Components Hartford Multifactor Developed Markets (ex-US) ETF - USD

ETF

RODM

US5184161025

Market Closed - Nyse 04:10:00 2024-04-26 pm EDT 5-day change 1st Jan Change
27.53 USD +0.47% Intraday chart for Hartford Multifactor Developed Markets (ex-US) ETF - USD +1.93% +0.40%

Composition of Hartford Multifactor Developed Markets (ex-US) ETF - USD

Weight
131.2 USD +0.37%+4.31%+20.34%0.80%
91.23 EUR -0.43%+4.99%+1.64%0.80%
1,340 GBX +1.52%+3.40%+20.67%0.79%
25.64 AUD +0.20%+3.43%-11.65%0.79%
663.6 GBX +0.26%+2.69%+4.42%0.76%
505 CHF -0.30%-2.60%-0.20%0.75%
89.5 CHF -0.56%+4.64%+5.46%0.74%
36.24 EUR +1.06%+0.33%+6.21%0.72%
28 EUR +0.43%+2.26%+7.63%0.71%
15.92 EUR +1.43%+1.02%-3.89%0.68%
152.4 CAD -0.04%+2.77%+18.78%0.66%
221 CHF +1.01%-0.50%-9.61%0.64%
16.25 AUD -1.04%-0.49%+0.87%0.64%
242.8 CHF +1.80%-2.37%-16.22%0.62%
43.15 EUR -0.19%+0.91%+20.70%0.60%
1,486 CAD -0.02%-1.82%+21.57%0.60%
10,330 DKK +6.17%+7.96%-14.91%0.56%
1,048 JPY +2.49%+2.34%+36.55%0.55%
15.26 EUR 0.00%+0.01%-0.57%0.55%
26.77 AUD +1.63%+1.23%-16.54%0.55%
4,214 JPY +3.64%-3.15%+16.41%0.54%
1,812 GBX -0.88%+2.11%+0.28%0.53%
1.73 SGD -0.57%-1.71%+15.44%0.53%
36.4 CAD -0.66%-1.19%-3.93%0.52%
46.43 EUR +1.62%-3.61%-18.14%0.51%
73.45 HKD +0.82%+3.97%-13.14%0.50%
40.45 CAD +0.65%+0.47%-7.77%0.50%
1,173 GBX +1.08%+2.85%+0.04%0.49%
261.4 GBX +1.87%+1.00%-13.62%0.49%
31.88 AUD +0.92%+0.06%-14.30%0.48%
9.53 AUD +1.71%+2.47%+0.53%0.47%
124.2 CAD -1.94%-1.99%-5.25%0.47%
37.42 EUR -0.98%+2.18%-1.42%0.47%
3.426 EUR -0.29%+3.16%+9.88%0.46%
3.67 AUD +0.82%-0.95%-7.45%0.46%
23.8 HKD +0.42%+3.48%+12.26%0.46%
42.95 AUD -0.46%-5.43%-14.79%0.45%
70.92 CAD -0.04%+1.75%+3.40%0.45%
61.56 AUD +1.73%-0.50%+16.12%0.45%
247 GBX -0.04%+0.57%+1.52%0.44%
448.6 JPY -0.31%+1.82%+2.33%0.44%
1,913 GBX +3.18%+6.34%+6.93%0.44%
110.6 SEK +1.01%+0.82%+12.14%0.43%
27.4 EUR +1.88%+4.08%-18.53%0.42%
10.4 EUR -0.86%-4.24%+0.88%0.41%
303.6 NOK -0.44%+1.56%-5.74%0.41%
a881c942ff5ba020a85b7fe88b.-XswFvLqPXP8DGabZlJCq99PhjmbqQtELdLpr4vuwCs.kgMBXYreTjGQTQ_aAB4snqYK7WjYy2o1S4Gu-cem8BjPPR1lmr8PBp1AMw

ETF Ratings

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) 1,120 M€
AuM 1M 1,178 M€
AuM 3 months 1,396 M€
AuM 6 months 1,399 M€
AuM 12 months 1,378 M€
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