Invesco FTSE Emerging Markets High Dividend Low Volatility UCITS ETF Dist

Investment Risks

For complete information on risks, refer to the legal documents. The value of investments, and any income from them, will fluctuate. This may partly be the result of changes in exchange rates. Investors may not get back the full amount invested. As a large portion of this fund is invested in less developed countries, investors should be prepared to accept a higher degree of risk than for an ETF that invests only in developed markets. The Fund may be exposed to the risk of the borrower defaulting on its obligation to return the securities at the end of the loan period and of being unable to sell the collateral provided to it if the borrower defaults. The value of equities and equity-related securities can be affected by a number of factors including the activities and results of the issuer and general and regional economic and market conditions. This may result in fluctuations in the value of the Fund. The Fund’s performance may be adversely affected by variations in the exchange rates between the base currency of the Fund and the currencies to which the Fund is exposed.

Product description

The Invesco FTSE Emerging Markets High Dividend Low Volatility UCITS ETF Dist aims to provide the net total return performance of the FTSE Emerging High Dividend Low Volatility Index, less the impact of fees. The fund distributes dividends on a quarterly basis.

The FTSE Emerging High Dividend Low Volatility Index (“the benchmark”) measures the performance of the 100 least-volatile high dividend-yielding stocks in the FTSE Emerging Index while meeting diversification, volatility and tradability requirements. All FTSE Emerging Index constituents are ranked in descending order of trailing 12 months dividend yields. The top 150 stocks are selected. Of these the 100 companies with the lowest volatility are selected to form the benchmark.

The fund aims to achieve its objective by buying and holding, as far as possible and practical, all the securities in the index in their respective weightings. The fund will aim to rebalance its holdings whenever the index is rebalanced. This method is referred to as full physical replication.

This ETF is passively managed.

Trading information

London Stock Exchange
Trading currency USD
Settlement period T+2
Exchange ticker EMHD
Bloomberg ticker EMHD LN
Bloomberg iNAV EMHDUSIV
Reuters ticker EMHD.L
Reuters iNAV EMHDUSiv.P
WKN A2AHZU
Valor 32412787
Sedol BYZQD67

Data source: London Stock Exchange Group

London Stock Exchange
Trading currency GBX
Settlement period T+2
Exchange ticker EMHD
Bloomberg ticker HDEM LN
Bloomberg iNAV EMHDGBIV
Reuters ticker HDEM.L
Reuters iNAV EMHDGBiv.P
WKN A2AHZU
Valor 32412787
Sedol BYZQD90

Data source: London Stock Exchange Group

Euronext Paris
Trading currency EUR
Settlement period T+2
Exchange ticker EMHD
Bloomberg ticker EMHD FP
Bloomberg iNAV EMHDEUIV
Reuters ticker HDEM.PA
Reuters iNAV EMHDEUiv.P
WKN A2AHZU
Valor 32412787

Data source: London Stock Exchange Group

Euronext Milan
Trading currency EUR
Settlement period T+2
Exchange ticker EMHD
Bloomberg ticker EMHD IM
Bloomberg iNAV EMHDEUIV
Reuters ticker EMHD.MI
Reuters iNAV EMHDEUiv.P
WKN A2AHZU
Valor 32412787

Data source: London Stock Exchange Group

Deutsche Börse (Xetra)
Trading currency EUR
Settlement period T+2
Exchange ticker EMHD
Bloomberg ticker EHDL GY
Bloomberg iNAV EMHDEUIV
Reuters ticker EHDL.DE
Reuters iNAV EMHDEUiv.P
WKN A2AHZU
Valor 32412787

Data source: London Stock Exchange Group

SIX Swiss Exchange
Trading currency USD
Settlement period T+2
Exchange ticker EMHD
Bloomberg ticker EMHD SW
Bloomberg iNAV EMHDUSIV
Reuters ticker EMHD.S
Reuters iNAV EMHDUSiv.P
WKN A2AHZU
Valor 32412787

Data source: London Stock Exchange Group

Yield information (18 Apr 2024)
Distribution yield 6.17%

Key information

Bloomberg ticker EMHD LN
ISIN IE00BYYXBF44
Benchmark BBG ticker HDLVEMN
Management fee 0.49%
NAV (18 Apr 2024) $23.26
AUM $154,726,671
Base currency USD
Replication method Physical
Securities lending Yes
Summary Risk Indicator (SRI) 4
Umbrella AUM (18 Apr 2024) $10,669,539,166

ESG Profile

(Fund 17 Apr 2024)

ESG Rating (AAA-CCC) BBB
Quality Score (0-10) 4.75
Carbon Intensity 657.61

Source: MSCI ESG Research. For more information on the ESG profile, see the ESG section on this product page. Carbon intensity is the weighted average carbon intensity (Tons CO2e/$million sales).

Costs may increase or decrease as result of currency and exchange rate fluctuations. Consult the legal documents for further information on costs.

The investment concerns the acquisition of units in a fund and not in a given underlying asset.

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

All rights in the “INDEX NAME” (the “Index”) vest in FTSE International Limited (“FTSE”). “FTSE®” is a trade mark of the London Stock Exchange Group companies and is used by FTSE under licence. The ETF has been developed solely by Invesco. The Index is calculated by FTSE or its agent. FTSE and its licensors are not connected to and do not sponsor, advise, recommend, endorse or promote the Fund and do not accept any liability whatsoever to any person arising out of (a) the use of, reliance on or any error in the Index or (b) investment in or operation of the Fund. FTSE makes no claim, prediction, warranty or representation either as to the results to be obtained from the Fund or the suitability of the Index for the purpose to which it is being put by Invesco.

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. Invesco 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.

 

The risk / reward profile classifies the fund by an indicator representing the levels from the lowest (1) to the highest (7). For more information see the KID/KIID.

 

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