PAF - FTSE RAFI Asia Pacific ex-Japan Portfolio Fundamentals

PAF Tracks This Index: FTSE RAFI Developed Asia Pacific ex Japan Index
Description: The Index is designed to track the performance of the largest equities of companies domiciled in the Asia Pacific region (excluding Japan), selected based on the following four fundamental measures of firm size: book value, income, sales and dividends.

PAF Performance

1 Week Return: -2.61%
2 Week Return: -9.40%
4 Week Return: -12.70%
13 Week Return: -12.79%
26 Week Return: 3.34%
YTD Return: -1.68%
1 Year Return: -17.26%
3 Year Return: 49.55%
5 Year Return: n/a
Data as of 05/24/2012

PAF Expenses & Fees

  • Expense Ratio: 0.80%
  • Category: Asia Pacific Equities
  • Category Range: 0.14% to 0.8%
  • Category Average: 0.62%

PAF Valuation

P/E Ratio: 9.28
Beta: 1.24
20 Day Moving Average: $49.28
60 Day Moving Average: $51.09
Data as of 05/24/2012

PAF Dividend

Annual Dividend Rate: $1.53
Dividend Date: 2012-03-16
Dividend: $0.20
Annual Dividend Yield %: 3.33%
Data as of 05/24/2012

PAF Volatility

5 Day Volatility: 176.20%
20 Day Volatility: 15.09%
50 Day Volatility: 16.94%
200 Day Volatility: 19.21%
Standard Deviation: 3.60%
Data as of 05/24/2012

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