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RSSL - Global X Russell 2000 ETF

Expense Ratio: 0.08%

RSSL ETF Stock Chart

RSSL Profile

Global X Russell 2000 ETF logo

Global X Funds has established itself as a prominent player in the exchange-traded fund (ETF) market, offering a diverse range of investment solutions tailored to meet the evolving needs of investors worldwide. One of its notable offerings is the Global X Russell 2000 ETF (RSSL), which tracks the Russell 2000 RIC Capped index. Launched on June 4, 2024, and issued by Global X, RSSL provides investors with exposure to small-cap U.S. equities while adhering to quarterly capping requirements to comply with RIC (Regulated Investment Company) concentration rules.

Managed by Global X Management Company LLC, a subsidiary of Mirae Asset Global Investments, Global X Funds prides itself on its innovative approach to ETF management. The firm leverages comprehensive research and quantitative analysis to construct portfolios that capture market opportunities across various asset classes and geographies. This disciplined investment approach aims to deliver competitive risk-adjusted returns while maintaining transparency and liquidity for investors.

RSSL's index methodology focuses on small-cap companies within the Russell 2000 universe, ensuring broad market representation while mitigating concentration risk through periodic capping. This strategic allocation strategy enables the ETF to provide diversified exposure to U.S. small-cap equities, catering to investors seeking growth potential in the dynamic segment of the market.

Investors in Global X Funds benefit from the firm's global presence and extensive experience in ETF management. RSSL's exchange-traded structure enhances accessibility and trading efficiency, offering both institutional and retail investors a flexible tool to capitalize on opportunities within the small-cap equity space. With a commitment to innovation and investor satisfaction, Global X Funds continues to redefine the ETF landscape by providing innovative investment solutions that align with investor objectives and market dynamics.


 

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