Invesco FTSE RAFI Europe Mid-small UCITS ETF Dist

Product description

The Invesco FTSE RAFI Europe Mid-Small UCITS ETF Dist aims to provide investors with investment results which, before expenses, correspond to the price and yield performance of the FTSE RAFI Developed Europe Mid-Small Net Total Return Index (an index weighted using a composite of fundamental factors) in Euro terms by holding, as far as practicable, all of the Index’s constituents in their respective weighting. The portfolio follows the index’s annual review (in March each year).

The FTSE Research Affiliates Fundamental Index Series® weights index constituents using specific fundamental factors, rather than market capitalisation. Therefore, at review, constituent weights are not based on price valuations established by the market. The review of the FTSE RAFI Index Series and the calculation of the fundamental weighting of a company are carried out using the following factors as found in a company’s annual returns: Sales (averaged over the prior five years), Cash Flow (averaged over the prior five years), Book Value (at the review date), and Dividends (total dividend distributions averaged over the last five years).

Information about the index & index sponsor - You can view further information by visiting the FTSE Russell website. Please note that, by using this link, you will be leaving the Invesco website. Any views and opinions expressed subsequently are not those of Invesco.

Please note that, prior to 25 May 2018, the name of this product was PowerShares FTSE RAFI Europe Mid-Small UCITS ETF. This change has no bearing on the investment objective or any other aspect of the product.

Trading information

London Stock Exchange
Trading currency GBP
Settlement period T+2
Exchange ticker PSES
Bloomberg ticker PSES LN
Bloomberg iNAV PSESGBIV
Reuters ticker PSEG.L
Reuters iNAV PSESGBiv.P
WKN A0M2ED
Valor 3595387
Sedol B248JW8
Today (12 Dec 2018)
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Euronext Paris
Trading currency EUR
Settlement period T+2
Exchange ticker PWD
Bloomberg ticker PWD FP
Bloomberg iNAV PSESEUIV
Reuters ticker PSPWD.PA
Reuters iNAV PSESEUiv.P
WKN A0M2ED
Valor 3595387
Today (12 Dec 2018)
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Deutsche Börse (Xetra)
Trading currency EUR
Settlement period T+2
Exchange ticker 6PSD
Bloomberg ticker 6PSD GY
Bloomberg iNAV PSESEUIV
Reuters ticker PSES.DE
Reuters iNAV PSESEUiv.P
WKN A0M2ED
Valor 3595387
Today (12 Dec 2018)
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Borsa Italiana
Trading currency EUR
Settlement period T+2
Exchange ticker PWD
Bloomberg ticker PWD IM
Bloomberg iNAV PSESEUIV
Reuters ticker PSES.MI
Reuters iNAV PSESEUiv.P
WKN A0M2ED
Valor 3595387
Today (12 Dec 2018)
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SIX Swiss Exchange
Trading currency CHF
Settlement period T+2
Exchange ticker PWD
Bloomberg ticker PWD SW
Bloomberg iNAV PSESCHIV
Reuters ticker PWD.S
Reuters iNAV PSESCHiv.P
WKN A0M2ED
Valor 3595387
Today (12 Dec 2018)
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Yield information ()
Distribution yield 0.02%

Key information

Bloomberg ticker PSES LN
ISIN IE00B23D8Y98
Benchmark BBG ticker TFRSDENE
Management fee 0.39%
NAV (11 Dec 2018) €13.29
AUM €9,303,754
Base currency EUR

Key fund risks

Shares of companies are generally considered high risk investments and may result in fluctuations in the value of the Fund due to external factors.

Although the Investment Manager will continually monitor the return of the Fund in comparison to the performance of the relevant Index, there can be no guarantee that the Fund will match the performance of the Index.

If the Fund is unable to hold the securities in the exact proportion required this will affect its ability to track the Index.

The Fund’s performance may be adversely affected by variations in the exchange rates between the base currency of the Fund and the currencies in which the investments are made.

As this Fund is invested in a particular sector, you should be prepared to accept greater fluctuations in the value of the Fund than for a fund with a broader investment mandate.

As the shares of the Fund are listed on one or more stock exchange(s) there may be insufficient demand to buy or sell the shares which may cause the price to be different than the actual value of the net asset value of the Fund.

Return on your investment may be adversely affected by variations in exchange rates.

 

The performance information on this web page refers to past performance. Past performance is not a reliable indicator of future returns.

The data shown on this page is not real-time, i.e. it may be delayed due to mandatory requirements of the data provider. As a consequence, the price of the product linked to a specific underlying you are quoted by your broker or intermediary may substantially differ from the price of the product that you would expect on the basis of the data displayed on this site. Source UK Services Limited accepts no responsibility for loss, however caused, resulting from errors in this data.

ETF performance is in the fund’s base currency, includes dividends, reinvested. ETF performance is Net Asset Value after management fees and other ETF costs but does not consider any commissions or custody fees payable when buying, holding or selling the ETF. The ETF does not charge entry or exit fees. Data: Invesco.