About this ETF
The Invesco RAFI Emerging Markets ETF (the Fund) is designed to mirror the performance of the RAFI Fundamental Select Emerging Markets 350 Index. The Fund typically allocates at least 90% of its total assets to securities found within this Index, including American Depository Receipts (ADRs) and Global Depository Receipts (GDRs) representing those components. The Index identifies the largest companies in emerging markets based on four key fundamental financial criteria: book value, cash flow, sales, and dividends. Companies demonstrating superior fundamental strength are weighted in proportion to their scores. The Index calculates its performance using net returns, which accounts for tax withholdings applicable to non-resident investors. Both the Fund and its underlying Index undergo annual rebalancing. A significant change will take effect at the close of business on March 21, 2025. The Fund's underlying benchmark will transition from the FTSE RAFI Emerging Index to the RAFI Fundamental Select Emerging Markets 350 Index. Concurrently, the Fund will formally adopt the name "Invesco RAFI Emerging Markets ETF," and its management fee will be reduced to 47 basis points. As of August 31, 2025, Morningstar Inc. awarded the Fund an overall rating of 4 stars, placing it among 696 evaluated funds. It also achieved a 4-star rating for its 3-, 5-, and 10-year performance periods, ranking against 696, 620, and 448 funds, respectively. Morningstar's methodology assesses funds based on risk-adjusted returns, emphasizing consistent performance and applying stricter penalties for downward volatility. These ratings are calculated for funds with at least a three-year operational history, treating all open-end mutual funds and exchange-traded funds as a single comparative group. The overall star rating is a weighted average of these long-term metrics, accounting for fees and expenses but excluding sales charges. Important Disclosures from Morningstar: This information is proprietary and copyrighted ©2025 by Morningstar Inc.; unauthorized reproduction or distribution is prohibited. Morningstar does not guarantee accuracy or completeness and disclaims responsibility for any resulting losses. Past performance is not indicative of future results. Star ratings, which can fluctuate monthly, are allocated as follows: the top 10% receive five stars, the next 22.5% receive four, the middle 35% three, the subsequent 22.5% two, and the bottom 10% one. Ratings may have been positively influenced by past fee waivers or expense reimbursements. Performance characteristics and ratings may vary for different share classes.
Description from the fund data provider · profilo aggiornato al Oct 10, 2026.
Grafico del prezzo
Daily closing prices (price return, not total return). Comparison lines are normalized to percent change from the range start. Fonte: Financial Modeling Prep.
Performance
| 1M | 3M | 6M | YTD | 1Y | 3Y* | 5Y* | 10Y* | Incep.* | |
|---|---|---|---|---|---|---|---|---|---|
| Rendimento del prezzo | -1.27% | +3.89% | +6.28% | +14.72% | +16.76% | +18.21% | +5.41% | +4.97% | +0.66% |
| Rendimento totale | -1.27% | +3.89% | +7.63% | +16.62% | +20.46% | +22.69% | +10.27% | +9.05% | +3.75% |
* Annualized. Total return uses the dividend-adjusted price series (distributions reinvested); price return uses unadjusted closes. Performance al Oct 09, 2026. Le performance passate non garantiscono risultati futuri.
Fees
| Expense ratio netto | 0.47% | Annual cost of a $10,000 investment | $47.00 |
Calcolo a solo scopo illustrativo: expense ratio × 10.000 $. Esclude i costi di negoziazione, gli spread denaro/lettera, le imposte e le variazioni del valore dell'investimento. I dettagli sull'expense ratio lordo e netto e le eventuali esenzioni dalle commissioni sono riportati nel prospetto.
Posizioni in portafoglio
Posizioni in portafoglio al Oct 10, 2026 · data di riferimento del portafoglio fornita dal provider di dati; le posizioni non sono in tempo reale. 388 righe nel database.
| # | Posizione | Ticker | Peso | Azioni | Valore di Mercato |
|---|---|---|---|---|---|
| 1 | Taiwan Semiconductor Manufacturing Co Ltd | 2330.TW | 5.86% | 1.55M | $122.3M |
| 2 | Petroleo Brasileiro SA - Petrobras | PETR4.SA | 5.23% | 9.72M | $109.1M |
| 3 | Alibaba Group Holding Ltd | 9988.HK | 3.15% | 4.73M | $65.8M |
| 4 | China Construction Bank Corp | 0939.HK | 2.61% | 43.73M | $54.5M |
| 5 | Hon Hai Precision Industry Co Ltd | 2317.TW | 2.54% | 6.83M | $52.9M |
| 6 | Tencent Holdings Ltd | TCTZF | 2.24% | 856.34K | $46.7M |
| 7 | Industrial & Commercial Bank of China Ltd | IDCBF | 1.97% | 42.87M | $41.1M |
| 8 | Vale SA | VALE3.SA | 1.95% | 2.99M | $40.7M |
| 9 | MediaTek Inc | 2454.TW | 1.91% | 275.00K | $39.9M |
| 10 | Bank of China Ltd | 3988.HK | 1.61% | 42.86M | $33.6M |
| 11 | JD.com Inc | JD | 1.60% | 1.23M | $33.3M |
| 12 | Ping An Insurance Group Co of China Ltd | 2318.HK | 1.29% | 4.05M | $26.9M |
| 13 | PetroChina Co Ltd | 0857.HK | 1.03% | 17.17M | $21.5M |
| 14 | Nan Ya Plastics Corp | 1303.TW | 0.93% | 2.03M | $19.4M |
| 15 | United Microelectronics Corp | 2303.TW | 0.93% | 4.26M | $19.4M |
| 16 | China Petroleum & Chemical Corp | 0386.HK | 0.89% | 32.15M | $18.6M |
| 17 | China Merchants Bank Co Ltd | 3968.HK | 0.89% | 2.76M | $18.5M |
| 18 | Reliance Industries Ltd | RELIANCE.NS | 0.87% | 1.51M | $18.2M |
| 19 | Itau Unibanco Holding SA | ITUB4.SA | 0.81% | 1.67M | $16.9M |
| 20 | ASE Technology Holding Co Ltd | 3711.TW | 0.81% | 730.00K | $16.9M |
| 21 | Lenovo Group Ltd | 0992.HK | 0.81% | 4.00M | $16.9M |
| 22 | PDD Holdings Inc | PDD | 0.76% | 194.71K | $15.8M |
| 23 | PTT PCL | PTT.BK | 0.76% | 13.23M | $15.8M |
| 24 | Agricultural Bank of China Ltd | 1288.HK | 0.68% | 17.05M | $14.1M |
| 25 | HDFC Bank Ltd | HDFCBANK.NS | 0.67% | 1.91M | $14.0M |
Click a ticker to see every ETF that owns it.
Esposizione settoriale
Esposizione Geografica
Country weights as reported by the data provider. Developed/emerging/frontier labels follow the classification on the Methodology page. Currency hedged: Nessuna copertura valutaria indicata nel nome del fondo.
Distributions
| Rendimento (TTM) | 3.92% | Distribuito (ultimi 12 mesi) | $1.1602 |
| Frequenza | Quarterly | Rendimento SEC | Non fornito dalla nostra fonte dati; vedi la pagina dell'emittente |
| Ultima ex-data | Sep 21, 2026 | Ultimo pagamento | $0.3248 (Sep 25, 2026) |
| Crescita 1A | +34.10% | Crescita 3A / 5A (ann.) | +10.25% / +12.73% |
| Ex-date | Record | Data di pagamento | Importo |
|---|---|---|---|
| Sep 21, 2026 | Sep 21, 2026 | Sep 25, 2026 | $0.3248 |
| Jun 22, 2026 | Jun 22, 2026 | Jun 26, 2026 | $0.3659 |
| Mar 23, 2026 | Mar 23, 2026 | Mar 27, 2026 | $0.0936 |
| Dec 22, 2025 | Dec 22, 2025 | Dec 26, 2025 | $0.3760 |
| Sep 22, 2025 | Sep 22, 2025 | Sep 26, 2025 | $0.3848 |
| Jun 23, 2025 | Jun 23, 2025 | Jun 27, 2025 | $0.1582 |
| Mar 24, 2025 | Mar 24, 2025 | Mar 28, 2025 | $0.1191 |
| Dec 23, 2024 | Dec 23, 2024 | Dec 27, 2024 | $0.2030 |
| Sep 23, 2024 | Sep 23, 2024 | Sep 27, 2024 | $0.3393 |
| Jun 24, 2024 | Jun 24, 2024 | Jun 28, 2024 | $0.3007 |
| Mar 18, 2024 | Mar 19, 2024 | Mar 22, 2024 | $0.0649 |
| Dec 18, 2023 | Dec 19, 2023 | Dec 22, 2023 | $0.1722 |
Rendimento da distribuzione trailing = ultimi 12 mesi di liquidità distribuita ÷ prezzo corrente. NON corrisponde al rendimento SEC a 30 giorni e la continuità delle distribuzioni non è garantita. La differenza spiegata →
Statistiche di rischio
| Volatilità 1A / 3A | 16.59% / 17.41% | Sharpe 1A / 3A | 1.09 / 1.19 |
| Drawdown massimo 1A / 3A | -10.24% / -17.72% | Sortino 1A | 1.59 |
| Beta vs S&P 500 (3Y) | 0.725 | Correlation vs S&P 500 (1Y) | 0.761 |
| Downside deviation 1Y | 11.41% | Tasso privo di rischio utilizzato | 4.05% (3M T-bill, FRED) |
Computed by ETF Explorer da chiusure giornaliere rettificate per i dividendi; volatilità e drawdown sono valori annualizzati/di periodo; l'esposizione all'S&P 500 è approssimata tramite SPY. Aggiornato al Oct 10, 2026. Formule →
Liquidità
| Volume odierno | 114.27K | Average volume | 228.09K |
| AUM | $2.08B | Premio/Sconto | +0.24% |
| Bid/Ask spread | Non fornito dalla nostra fonte dati. Verifica lo spread sul tuo broker; gli spread sono più ampi in apertura e in chiusura. | ||
Il premio/sconto confronta il prezzo di mercato differito con l'ultimo NAV pubblicato: si tratta di un valore indicativo, non del premio/sconto ufficiale di chiusura. Come funziona la liquidità degli ETF →
Flussi del Fondo (stimati)
| Periodo | Est. net flow | % of starting AUM | AUM start → end |
|---|---|---|---|
| 1 Day | $0.00 | 0.00% | $2.08B → $2.08B |
| 1 Month | -$43.6M | -2.05% | $2.13B → $2.08B |
| 1 Week | -$3.7M | -0.18% | $2.04B → $2.08B |
ETF Explorer estimate: change in reported AUM minus the market-move effect, from our own daily snapshots. Not official issuer creation/redemption data.
Risorse ufficiali del fondo
I link esterni aprono il sito dell'emittente o SEC EDGAR in una nuova scheda. Il prospetto e i documenti ufficiali sono sempre la fonte autorevole; consultali prima di investire.
Ultime Notizie su PXH
Nessun articolo menziona direttamente questo fondo negli ultimi 7 giorni; viene mostrata la copertura generale degli ETF.
Guida rapida: l'AUM è la dimensione del fondo. L'expense ratio è il costo annuo incorporato nei rendimenti. Il NAV è il valore di ciò che il fondo detiene per quota; il prezzo di mercato può essere leggermente superiore (premio) o inferiore (sconto) al NAV. Il rendimento totale presuppone il reinvestimento delle distribuzioni. Ogni dato riporta la propria data di aggiornamento, poiché portafoglio, patrimonio e quotazioni si aggiornano con frequenze diverse.
PXH