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Asset Management - Global
This investment vehicle seeks to replicate the returns of the QS Emerging Markets Low Volatility High Dividend Hedged Index. The fund allocates at least 80% of its net assets, potentially supplemented by borrowed capital, to the securities that make up its benchmark index. The underlying index's objective is to deliver consistent income by investing in financially robust companies within non-U.S. emerging markets. These selected companies typically exhibit relatively high current or anticipated dividend yields, coupled with reduced price and earnings volatility. An additional feature of the index is its strategy to minimize exposure to currency fluctuations between the U.S. dollar and the respective currencies of its constituent holdings.
No one on the platform currently holds LVHE.
No tracked institution reports a position in LVHE as of their last filing.
No one on the platform has traded LVHE yet.
Consensus-seeded revenue, margins, and exit multiples. This is a scenario tool, not investment advice.
Analyst estimates unavailable for this ticker.
No recent Form 4 filings on EDGAR — either no insider transactions reported recently or this isn't a SEC-registered issuer.
| Symbol | Price | Today | Mkt cap | P/E |
|---|---|---|---|---|
| LVHELegg Mason Emerging Markets Low Volatility High Dividend ETF | $21.18 | +0.69% | $3M | — |
| ABHYTrimTabs ETF Trust - Donoghue Forlines Tactical High Yield ETF | $19.52 | -0.13% | $0 | — |
| CROCProShares UltraShort Australian Dollar | $50.72 | +1.98% | $3M | — |
| DEZUiShares Adaptive Currency Hedged MSCI Eurozone ETF | $26.11 | +0.83% | $3M | — |
| EDUTGlobal X Education ETF | $20.54 | +0.42% | $3M | — |
| EWEBGlobal X Emerging Markets Internet & E-commerce ETF | $21.14 | +0.00% | $2M | — |
| HEWYiShares Currency Hedged MSCI South Korea ETF | $23.68 | -0.01% | $2M | — |
Source: Financial Modeling Prep · peers by sector/industry
The investment seeks to track the investment results of the QS Emerging Markets Low Volatility High Dividend Hedged Index. The fund will invest at least 80% of its net assets, plus borrowings for investment purposes, if any, in securities that compose its underlying index. The underlying index seeks to provide stable income through investments in stocks of profitable companies in emerging markets outside of the U.S. with relatively high dividend yields or anticipated dividend yields and lower price and earnings volatility, while mitigating exposure to exchange-rate fluctuations between the USD and currencies in which the component securities are denominated.
No constituent disclosure available for this fund yet.