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New York Stock Exchange Arca · Equity
$79.77
+$0.71 · +0.90%
· Aug 21, 4:00 PM ET
$79.77
Previous close+$0.71 · +0.90%
· Aug 21, 4:00 PM ET
$79.77
+$0.71 · +0.90%
Regular session · ET · Market data may be delayed.
The Invesco RAFI Developed Markets ex-U.S. ETF (PXF) aims to replicate the performance of the RAFI Fundamental Select Developed ex US 1000 Index. This Fund typically allocates at least 90% of its total assets to the securities comprising this Index, which may include American and global depositary receipts representing these underlying holdings. The Index itself is designed to capture the performance of the biggest companies in developed markets, excluding the United States, by selecting them based on four fundamental financial metrics: book value, cash flow, sales figures, and dividends paid. Companies demonstrating superior fundamental strength are weighted proportionally to their fundamental scores. The Index's performance is calculated using net returns, factoring in taxes applicable to non-resident investors. Both the Fund and its underlying Index undergo an annual rebalancing and reconstitution. Important changes are scheduled for March 21, 2025. At this time, the Fund's current benchmark, the FTSE RAFI Developed ex U.S. 1000 Index, will be replaced by the RAFI Fundamental Select Developed ex-US 1000 Index. Concurrently, the Fund's name will simplify to "Invesco RAFI Markets ex-U.S. ETF," and its management fee will decrease to 0.43%. As of August 31, 2025, Morningstar Inc. awarded the Fund an impressive overall rating of 4 stars, placing it among 338 peer funds. Its performance over different timeframes was rated as 3 stars for the 3-year period (out of 338 funds), 4 stars for the 5-year period (out of 319 funds), and 4 stars for the 10-year period (out of 240 funds). Morningstar's ratings reflect a risk-adjusted return methodology, prioritizing consistent performance and penalizing greater downside volatility. These ratings consider both open-end mutual funds and ETFs as a single comparison group and are based on a minimum three-year performance history. The overall star rating is a weighted average of these three-, five-, and ten-year ratings, before sales charges but after all other fees and expenses. It's important to note that the top 10% of funds receive five stars, the next 22.5% four stars, the subsequent 35% three stars, the following 22.5% two stars, and the bottom 10% one star. These ratings can fluctuate monthly. Had fee waivers or expense reimbursements not been in effect, the Morningstar rating might have been lower. Performance results do not guarantee future returns, and ratings for other share classes might differ.
Fund assets
3B USD
Expense ratio
0.43%
NAV
$79.67
Average volume
91.73K
Volume
107.44K
Day range
$79.6001 – $79.8699
52-week range
$59.31 – $79.88
Previous close
$79.06
Price change
1 day
+0.90%
1 month
+5.50%
3 months
+4.41%
Year to date
+21.69%
1 year
+31.92%
3 years
+80.11%
5 years
+66.74%
Price changes exclude distributions, fees, taxes, and investor-specific cash flows.
Portfolio composition
Fund income
Jun 22, 2026
Quarterly
Jun 22, 2026
Jun 26, 2026
$0.6806
Mar 23, 2026
Quarterly
Mar 23, 2026
Mar 27, 2026
$0.4893
Dec 22, 2025
Quarterly
Dec 22, 2025
Dec 26, 2025
$0.7741
Sep 22, 2025
Quarterly
Sep 22, 2025
Sep 26, 2025
$0.426
Jun 23, 2025
Quarterly
Jun 23, 2025
Jun 27, 2025
$0.7198
Mar 24, 2025
Quarterly
Mar 24, 2025
Mar 28, 2025
$0.4633
Dec 23, 2024
Quarterly
Dec 23, 2024
Dec 27, 2024
$0.3268
Sep 23, 2024
Quarterly
Sep 23, 2024
Sep 27, 2024
$0.3316
Jun 24, 2024
Quarterly
Jun 24, 2024
Jun 28, 2024
$0.6345
Mar 18, 2024
Quarterly
Mar 19, 2024
Mar 22, 2024
$0.3718
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ETF data may be delayed, incomplete, or revised. Holdings and exposures change over time. Historical performance does not guarantee future results. This page is for informational and educational purposes only and does not constitute investment advice or a recommendation.