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

ETF

RODM

US5184161025

Delayed Nyse 03:19:04 2024-05-09 pm EDT 5-day change 1st Jan Change
28.32 USD +0.78% Intraday chart for Hartford Multifactor Developed Markets (ex-US) ETF - USD +3.49% +3.30%

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

Weight
129.6 USD -0.64%+0.58%+18.83%0.80%
92.79 EUR -0.31%+0.96%+3.36%0.80%
1,388 GBX +0.47%+4.61%+25.24%0.79%
26.41 AUD -0.86%+3.29%-8.99%0.79%
692.6 GBX -0.49%-1.83%+8.91%0.76%
497 CHF +0.24%-1.29%-1.78%0.75%
90.54 CHF +0.85%+1.67%+6.68%0.74%
35.85 EUR +1.79%+3.02%+5.07%0.72%
29.2 EUR +1.07%+3.77%+12.24%0.71%
16.33 EUR +1.68%+5.12%-1.42%0.68%
156.8 CAD +1.46%+2.56%+22.19%0.66%
222.3 CHF +0.45%+0.77%-9.08%0.64%
16.28 AUD -0.18%+1.18%+1.06%0.64%
250.5 CHF +1.05%+2.79%-13.56%0.62%
45.72 EUR +0.59%+6.03%+27.89%0.60%
1,552 CAD -0.64%+1.56%+26.97%0.60%
10,435 DKK +2.86%+3.27%-14.04%0.56%
1,029 JPY +0.59%-1.91%+34.07%0.55%
15.01 EUR +0.50%+1.27%-2.19%0.55%
26.6 AUD +0.15%+2.54%-17.08%0.55%
4,338 JPY +0.77%+1.43%+19.83%0.54%
1,874 GBX +0.08%+1.49%+3.57%0.53%
1.72 SGD +0.58%0.00%+15.44%0.53%
39.47 CAD +1.26%+7.08%+4.17%0.52%
47.83 EUR +0.89%+2.82%-15.67%0.51%
74.35 HKD +0.81%+0.47%-11.96%0.50%
42.78 CAD -0.26%+4.96%-2.46%0.50%
1,202 GBX +0.33%+3.62%+2.56%0.49%
274.8 GBX +1.33%+4.24%-8.99%0.49%
30.78 AUD -0.42%+0.92%-17.26%0.48%
10.35 AUD +2.17%+11.65%+9.18%0.47%
127.6 CAD +0.98%+3.42%-2.71%0.47%
38.56 EUR -0.27%-4.00%+1.66%0.47%
3.42 EUR +1.33%+1.39%+9.69%0.46%
3.64 AUD -0.27%+1.39%-8.08%0.46%
24.1 HKD +0.21%-1.03%+13.68%0.46%
43.06 AUD -0.74%+1.60%-14.58%0.45%
73.27 CAD +0.99%+4.28%+6.82%0.45%
57.25 AUD -4.54%-4.47%+7.96%0.45%
256.5 GBX -0.04%+5.25%+5.55%0.44%
430.4 JPY +0.87%-4.01%-1.82%0.44%
1,983 GBX +0.51%+3.12%+10.96%0.44%
107.4 SEK -4.45%-3.59%+9.00%0.43%
28.74 EUR +0.91%+1.96%-14.72%0.42%
10.66 EUR +1.33%+2.45%+3.45%0.41%
304.7 NOK -0.31%+1.92%-5.42%0.41%
6b.IbolbgPlnUw04xj8NCcwfkOC29kldhp-BzMTMbqKmpw.Qv5vOELU8SZnjCDIRRdBITPT75VRHC8vc0ZefdnY9spzynoXM6alAnCPfw

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 ( 2024-04-29 )

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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