Invesco RAFI US 1500 Small-Mid ETF logo

Invesco RAFI US 1500 Small-Mid ETF

PRFZ

NASDAQ Global Market · Equity

$55.4293

終値

−$0.4607 · -0.82%

· 8月24日 16:00 ET

時間外

$55.45

+$0.0207 · +0.04%

· 8月24日 16:15 ET

PRFZのETF概要

$55.42

−$0.47 · -0.84%

2026年8月24日 09:30 2026年8月24日 15:59米国東部時間ET
期間安値
$55.31
期間高値
$55.74

日中の時刻はETです。市場データは遅延する場合があります。

The Invesco RAFI US 1500 Small-Mid ETF (PRFZ) aims to replicate the performance of the RAFI Fundamental Select US 1500 Index. Typically, the Fund allocates at least 90% of its total assets to the common stocks that make up this index. The underlying index focuses on tracking the performance of small and medium-sized U.S. companies. Its constituent firms are chosen based on four core financial indicators: book value, cash flow generation, sales revenue, and dividend payments. Specifically, the index selects equities ranked between 1,001 and 2,500 in fundamental size from a universe of 3,000 companies, assigning each a weight proportional to its fundamental value. Both the ETF's portfolio and the index's composition undergo annual rebalancing. A significant shift is scheduled for the close of business on March 21, 2025. The Fund will transition from its current benchmark, the FTSE RAFI US 1500 Mid Small Index, to the RAFI Fundamental Select US 1500 Index. Concurrently, the Fund's official name will be "Invesco RAFI US 1500 Small-Mid ETF." As of August 31, 2025, Morningstar Inc. awarded the Fund an overall 4-star rating, placing it favorably among 577 evaluated funds. This strong performance was consistent across various durations: it earned 4 stars for the 3-year period (out of 577 funds), 4 stars for the 5-year period (out of 556 funds), and 4 stars for the 10-year period (out of 405 funds). Morningstar's ratings employ a risk-adjusted return methodology, which considers monthly performance fluctuations, emphasizing penalties for downward volatility and rewarding consistent returns. For comparative analysis, Morningstar integrates open-end mutual funds and exchange-traded funds into a single comparison group. Only funds with a minimum of three years of operational history are eligible for ratings. The comprehensive overall rating is a weighted average derived from the 3-, 5-, and 10-year performance metrics, where applicable, and includes all fees and expenses but excludes sales charges. Important Disclaimers from Morningstar: This information is proprietary and must not be copied or distributed. Morningstar does not guarantee its accuracy, completeness, or timeliness, nor do they assume responsibility for any damages or losses resulting from its use. Investors should be aware that past performance is not a reliable indicator of future results. Within each category, the top 10% of funds receive five stars, the subsequent 22.5% earn four stars, the middle 35% are awarded three stars, the next 22.5% get two stars, and the bottom 10% receive one star. These ratings are subject to monthly updates. It is also important to note that any fee waivers or expense reimbursements, current or past, might have positively impacted the Morningstar rating, which could have been lower otherwise. Furthermore, ratings for different share classes may vary due to distinct performance characteristics.

資産クラス
Equity
運用会社
Invesco
設定国
US
設定日
2006年9月20日
保有銘柄数
1,499
ISIN
US46137V5975

主なファンド統計

運用資産

28.66億 USD

経費率

0.34%

NAV

$55.88

平均出来高

13.74万

出来高

3.2万

日中レンジ

$55.33 – $55.74

52週レンジ

$42.73 – $56.84

前日終値

$55.89

価格変動

パフォーマンス

1日

-0.82%

1か月

+3.72%

3か月

+8.30%

年初来

+20.79%

1年

+25.52%

3年

+63.32%

5年

+50.38%

価格変動には、分配金、手数料、税金、投資家固有の資金移動は含まれません。

ポートフォリオ構成

エクスポージャー

セクター別

上位10件
Technology18.26%
Healthcare18.03%
Industrials15.23%
Financial Services14.56%
Consumer Cyclical11.50%
Real Estate6.97%
Energy5.02%
Basic Materials3.17%
Consumer Defensive3.13%
Communication Services2.82%

国別

上位10件
United States97.46%
United Kingdom0.96%
Bermuda0.72%
Luxembourg0.22%
Netherlands0.16%
Cayman Islands0.10%
Greece0.07%
Other0.06%
Ireland0.06%
Switzerland0.05%

ファンド収益

分配金

2026年6月22日

四半期ごと

$0.0992

2026年3月23日

四半期ごと

$0.1017

2025年12月22日

四半期ごと

$0.1144

2025年9月22日

四半期ごと

$0.115

2025年6月23日

四半期ごと

$0.1052

2025年3月24日

四半期ごと

$0.0437

2024年12月23日

四半期ごと

$0.2305

2024年9月23日

四半期ごと

$0.1315

2024年6月24日

四半期ごと

$0.1563

2024年3月18日

四半期ごと

$0.0861

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ETFデータは遅延、不完全、または修正される場合があります。保有銘柄とエクスポージャーは時間とともに変化します。過去の実績は将来の成果を保証しません。このページは情報提供および教育のみを目的としており、投資助言や推奨ではありません。