Invesco Bloomberg MVP Multi-factor ETF

Rentabilidad a seis meses: -4.33%
Industria: Large Cap Blend Equities

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Descripción Invesco Bloomberg MVP Multi-factor ETF

The fund generally will invest at least 90% of its total assets in securities that comprise the underlying index. The underlying index seeks to include the 50 securities with the strongest momentum, most muted volatility, most inexpensive valuations, and highest profitability based on an aggregated sector-neutral "MVP" score. Stocks are selected from the top of each sector and size category in a manner designed to produce an index with sector and size dispersion similar to the overall broad market.


10 летняя доходность -33.15
3 летняя доходность -60.14
5 летняя доходность -47.58
Assets class size Large-Cap
Country USA
Country ISO US
Focus Large Cap
Issuer Invesco
Region specific U.S.
Segment Equity: U.S. - Large Cap
Strategy Multi-factor
Валюта usd
Годовая доходность 30.93
Дата основания May 01. 2003
Див доходность 1.69
Индекс Bloomberg MVP Index
Количество компаний 10
Комиссия 0.29
Полное наименование Invesco Bloomberg MVP Multi-factor ETF
Регион North America
Сайт enlace
Средний P/E 7.27
Тип актива Equity
Cambio de precio por día: +6.59% (42.7241)
Cambio de precio por semana.: -4.87% (47.8726)
Cambio de precio por mes: -6.64% (48.7796)
Cambio de precio en 3 meses.: -5.87% (48.38)
Cambio de precio en seis meses: -4.33% (47.6)
Cambio de precio desde principios de año.: -9.62% (50.39)

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