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PowerShares FTSE RAFI Developed Markets ex-U.S. Portfolio: (PXF)

(NA) As of Jun 27, 2017 04:09 PM ET

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$41.58 USD

41.58
50,685

+0.09 (0.22%)

Volume: 50,685

Zacks ETF Rank 3 - Hold     3    

This is our ETF rating system that serves as a timeliness indicator for ETFs over the next 6 months:

Zacks Rank Definition
1 Strong Buy
2 Buy
3 Hold
4 Sell
5 Strong Sell

See all the Top Ranked ETFs here - The complete list of all the top ranked ETFs

ETF Quote Details

Previous Close 41.49
Open 41.66
Bid 0.00
Ask 41.66
Day Low-High 41.48-41.66
52wk Low-High 32.21-42.71
Volume 50,685
NAV (month end) 42.06
Premium (+)/Discount (-) (month end)-0.57

Zacks Premium Research for PXF

Zacks ETF Rank Hold 3
ETF Risk Med
ETF Research Report

Zacks proprietary quantitative models divide each set of ETFs following a similar investment strategy (style box/industry/asset class) into three risk categories- High, Medium, and Low. The aim of our models is to select the best ETFs within each risk category, so that investors can pick an ETF that matches their particular risk preference in order to better achieve their investment goals.

This is our ETF rating system that serves as a timeliness indicator for ETFs over the next 6 months:

Zacks Rank Definition
1 Strong Buy
2 Buy
3 Hold
4 Sell
5 Strong Sell

See all the Top Ranked ETFs here - The complete list of all the top ranked ETFs

ETF Expense Ratio

Expense Ratio 0.45%
Dividend (Yield) $1.22 (2.93%)
Issuer INVESCO POWERSHARES

Benchmark for PXF

FTSE RAFI DEVELOPED EX-U.S. INDEX

The FTSE RAFI Developed ex-U.S. Index is designed to track the performance of the largest developed market equities, excluding the US, selected based on the following four fundamental measures of firm size: book value, cash flow, sales and dividends.

Fund Summary for PXF

POWERSHARES FTSE RAFI DEVLPD MRKTS EX-US

The PowerShares FTSE RAFI Developed Markets ex-U.S. Portfolio is based on the FTSE RAFI Developed ex-U.S. Index. The Fund will normally invest at least 90% of its total assets in securities that comprise the Index and ADRs based on the securities in the Index.