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AVSE

Avantis Responsible Emerging Markets Equity ETF

市場価格
$52.24
時点:2024/11/22
日次市場価格変動率
Direction arrow down -$0.04 (-0.08%)
時点:2024/11/22
年初来市場価格
トータルリターン(%)
12.50
時点:2024/10/31
基準価額
$52.04
時点:2024/11/22
日次基準価額変動率
Direction arrow down -$0.09 (-0.18%)
時点:2024/11/22
年初来基準価額
トータルリターン(%)
12.00
時点:2024/10/31
グロス経費率
0.33%
時点:2024/01/01
ネット経費率
0.33%
時点:2024/01/01

    AVSEの特徴

    • Invests in a broad set of companies of all market capitalizations across emerging market countries and is designed to increase expected returns* by overweighting securities believed to be trading at lower valuations with higher profitability ratios**.

    • Limits the investable universe of companies by screening out those that raise concerns based on the team's evaluation of multiple Environmental, Social and Governance (ESG) metrics and pursues the benefits associated with indexing but with the ability to add value by making investment decisions using information based on proprietary evaluations.

    • Efficient portfolio management and trading process that is designed to enhance returns while seeking to reduce unnecessary risks and transaction costs.

    • Built to fit seamlessly into an investor's asset allocation.

    概要

    ティッカー
    AVSE
    投資目標
    Seeks long-term capital appreciation.
    iNAVティッカー
    AVSE.IV
    設定日
    2022/03/28
    保有銘柄数
    2274
    時点:2024/09/30
    ベンチマーク

    MSCI Emerging Markets IMI Index

    CUSIP
    025072315
    ISIN
    US0250723154
    SEDOL
    BNZHQW0
    取引所
    NYSE Arca
    分配頻度
    Semi-Annual
    総資産
    $80,664,078.84
    時点:2024/11/22
    発行済口数
    1,550,000.00
    時点:2024/11/22

    パフォーマンス

    下記プルダウンよりパフォーマンスの月末値及びヒストリカルデータを表示

    時点:
        2024/10/31

    トータルリターン

    累積
    年平均
    Info icon
    年初来 1か月 3か月 1年 3年 5年 10年 設定来
    AVSE (NAV)
    Info icon
    12.00%-3.87%2.47%26.74%- -- -- -4.96%
    AVSE (MARKET PRICE)
    Info icon
    12.50%-3.09%2.69%27.21%- -- -- -5.21%
    BENCHMARK
    Info icon
    11.15%-4.40%3.23%25.09%-0.79%4.70%3.70%- -
    引用されたパフォーマンスデータは過去のパフォーマンスであり、将来の結果を保証するものではありません。現在のパフォーマンスは、引用されたパフォーマンスデータよりも低い場合も高い場合もあります。投資収益や元本金額は変動するものであり、投資家の株式価値は償還される際に、当初の費用より高くなったり低くなったりする可能性があります。1年未満のリターンは年率換算されていません。純資産額(NAV)は、当ファンドが証券取引所で初めて取引された日より前の市場価格のパフォーマンスを計算するために使用されます。市場価格のパフォーマンスは、純資産額(NAV)が通常算出される米国東部標準時間午後4時時点のビッド/アスク・スプレッドの仲値を基準として計算されます。市場価格のパフォーマンスは、時間外で取引された場合に受け取りとなるリターンを示すものではありません。インデックスのパフォーマンスは当ファンドのパフォーマンスを示すものではありません。インデックスに直接投資することはできません。
    通常よりもはるかに堅調なパフォーマンスは、非常に良好な市場環境に起因する部分もあり、今後も繰り返されるもしくは継続するとは限りません。

    信託報酬等

    グロス経費率
    Info icon
    0.33%
    ネット経費率
    Info icon
    0.33%

    価格

    市場価格情報

    Info icon
    時点: 2024/11/22
    市場価格
    $52.24
    日次市場価格変動率
    Direction arrow down -$0.04 (-0.08%)
    ビッド/アスク・スプレッドの30日中央値
    0.27%
    日中高値
    $52.27
    日中安値
    $52.24
    終値
    $52.24

    基準価額

    時点: 2024/11/22
    基準価額
    $52.04
    日次基準価額変動率
    Direction arrow down -$0.09 (-0.18%)

    52週レンジ

    時点: 2024/11/22
    52週高値
    $56.52
    52週安値
    $45.03

    トレーディング

    時点: 2024/11/22
    プレミアム・ディスカウント
    Info icon
    0.40%
    詳細>

    ポートフォリオ

    セクターウェイト

    "四捨五入のため合計が100%にならない場合があります" | 時点:2024/10/31
    Info icon
    Financials
    Financials

    25%

    Information Technology
    Information Technology

    21%

    Consumer Discretionary
    Consumer Discretionary

    17%

    Industrials
    Industrials

    10%

    Communication Services
    Communication Services

    8%

    Materials
    Materials

    5%

    Health Care
    Health Care

    4%

    Consumer Staples
    Consumer Staples

    4%

    Real Estate
    Real Estate

    3%

    Utilities
    Utilities

    2%

    Energy
    Energy

    <1%

    国別配分

    "四捨五入のため合計が100%にならない場合があります" | 時点:2024/10/31
    Info icon
    • China

      China

      24%

    • Taiwan

      Taiwan

      22%

    • India

      India

      22%

    • South Korea

      South Korea

      11%

    • Brazil

      Brazil

      4%

    • South Africa

      South Africa

      3%

    • Mexico

      Mexico

      2%

    • Thailand

      Thailand

      2%

    • Malaysia

      Malaysia

      2%

    • Indonesia

      Indonesia

      2%

    上位保有10銘柄

    Info icon

    時点: 2024/11/21 全銘柄を表示する

    銘柄名
    ティッカー
    CUSIP
    ISIN
    セクター
    評価額
    (米ドル)
    ウェイト
    TAIWAN SEMICONDUCTOR SP ADR ADR TSM 874039100 US8740391003 INFORMATION TECHNOLOGY 4809112.28 5.95%
    TENCENT HOLDINGS LTD COMMON STOCK HKD.00002 700 BMMV2K903 KYG875721634 COMMUNICATION SERVICES 2440109.09 3.02%
    ALIBABA GROUP HOLDING SP ADR ADR USD.000025 BABA 01609W102 US01609W1027 CONSUMER DISCRETIONARY 1373302.26 1.70%
    SAMSUNG ELECTR GDR REG S GDR SMSN 494281900 US7960508882 INFORMATION TECHNOLOGY 1214665.33 1.50%
    CHINA CONSTRUCTION BANK H COMMON STOCK CNY1.0 939 B0LMTQ900 CNE1000002H1 FINANCIALS 1095569.47 1.36%
    HON HAI PRECISION INDUSTRY COMMON STOCK TWD10.0 2317 643856909 TW0002317005 INFORMATION TECHNOLOGY 784122.82 0.97%
    BYD CO LTD H COMMON STOCK CNY1.0 1211 653665901 CNE100000296 CONSUMER DISCRETIONARY 746498.68 0.92%
    INFOSYS LTD SP ADR ADR INFY 456788108 US4567881085 INFORMATION TECHNOLOGY 616351.32 0.76%
    MEITUAN CLASS B COMMON STOCK USD.00001 3690 ACI14YZ22 KYG596691041 CONSUMER DISCRETIONARY 615453.78 0.76%
    MEDIATEK INC COMMON STOCK TWD10.0 2454 637248907 TW0002454006 INFORMATION TECHNOLOGY 588106.43 0.73%

    Exchange Traded Funds (ETFs) are bought and sold through exchange trading at market price (not NAV), and are not individually redeemed from the fund. Shares may trade at a premium or discount to their NAV in the secondary market. Brokerage commissions will reduce returns.

    This fund is an actively managed ETF that does not seek to replicate the performance of a specified index. To determine whether to buy or sell a security, the portfolio managers consider, among other things, various fund requirements and standards, along with economic conditions, alternative investments, interest rates and various credit metrics. If the portfolio manager considerations are inaccurate or misapplied, the fund's performance may suffer.

    International investing involves special risks, such as political instability and currency fluctuations. Investing in emerging markets may accentuate these risks.

    Historically, small- and/or mid-cap stocks have been more volatile than the stock of larger, more-established companies. Smaller companies may have limited resources, product lines and markets, and their securities may trade less frequently and in more limited volumes than the securities of larger companies.

    The portfolio management team limits its investable universe of companies by screening out those that raise concerns based on the team's evaluation of multiple environmental, social, and corporate governance (ESG) metrics. The portfolio managers utilize ESG data from third party sources, as well as proprietary evaluations, to decide what securities should be excluded due to ESG concerns. Because the portfolio managers screen securities based on ESG characteristics, the fund may exclude the securities of certain issuers or industry sectors for other than financial reasons and, as a result, the fund may perform differently or maintain a different risk profile than the market generally or compared to funds that do not use similar ESG-based screens. Investing based on ESG considerations may also prioritize long term rather than short term returns. Due to the lack of regulation and uniform reporting standards with respect to ESG characteristics of issuers, ESG data may be inconsistent or inaccurate across sources. In addition, all relevant ESG data considered by the team may not be available for an issuer.

    For detailed descriptions of indices or investing terms referenced above, refer to our glossary.

    *Expected Returns: Valuation theory shows that the expected return of a stock is a function of its current price, its book equity (assets minus liabilities) and expected future profits, and that the expected return of a bond is a function of its current yield and its expected capital appreciation (depreciation). We use information in current market prices and company financials to identify differences in expected returns among securities, seeking to overweight securities with higher expected returns based on this current market information. Actual returns may be different than expected returns, and there is no guarantee that the strategy will be successful.

    **Profitability-to-Book: The profitability-to-book ratio is used to measure a company's profitability relative to its book value. A company's profitability is generally calculated by subtracting operating expenses from its gross profit. Book value is generally a firm's reported assets minus its liabilities on its balance sheet.

    Source: MSCI. Morgan Stanley Capital International (MSCI) makes no express or implied warranties or representations and shall have no liability whatsoever with respect to any MSCI data contained herein. The MSCI data may not be further redistributed or used to create indices or financial products. This report is not approved or produced by MSCI.

    上場投資信託(ETF):Foreside Fund Services, LLCがディストリビューターであり、American Century Investment Services, Inc.とは関係ありません。

    投資の際は、当ファンドの投資目標、リスク要因、手数料・費用などについて、慎重に検討する必要があります。当ファンドのプロスペクタスまたはサマリー・プロスぺクタスはウェブサイト (Avantisinvestors.com) 、もしくは833-928-2684にお電話いただくことで入手可能です。これらの資料には、当ファンドに関するこれらの情報およびその他の情報が含まれていますので、投資前によくお読みください。投資には市場リスクが伴います。

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