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QINT - American Century Quality Diversified International ETF

Expense Ratio: 0.39%

QINT ETF Stock Chart

QINT Profile

American Century Quality Diversified International ETF logo

The American Century Quality Diversified International ETF is structured to provide broad exposure to high-quality international equities by investing in securities that meet rigorous growth, valuation, and quality criteria. Under normal market conditions, the fund allocates at least 80% of its assets, excluding any collateral from securities lending, to the securities that constitute its underlying index. This index is meticulously crafted to identify and select companies with robust financial fundamentals, emphasizing growth potential, attractive valuation, and overall quality across their operations.

The underlying index includes large- and mid-capitalization stocks from a diverse set of global markets, encompassing both developed and emerging economies. By focusing on companies outside the United States, the fund seeks to capture opportunities in a broad range of international markets, providing investors with exposure to a wide spectrum of global economic growth and stability. The index aims to reflect the performance of high-quality firms that demonstrate strong financial metrics and operational excellence.

The fund’s investment approach targets companies with favorable growth prospects, solid valuation metrics, and high-quality financial characteristics. This includes evaluating factors such as earnings stability, strong cash flow, and efficient capital management. By emphasizing these attributes, the fund aims to build a portfolio that not only seeks capital appreciation but also emphasizes resilience and financial health in various international market conditions.

Investors should note that the American Century Quality Diversified International ETF’s focus on high-quality international equities involves exposure to a range of markets and sectors. This approach helps to diversify investment risks across different geographies and economies. However, as with all international investments, there are inherent risks related to foreign markets, including currency fluctuations, geopolitical events, and varying regulatory environments. The fund’s strategy aims to mitigate these risks through careful selection of high-quality securities and diversified global exposure.


 

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