Funds performance

fund namesort icon 1 mth 3 mth 12 mth ytd Inception Net assets Return Date
Russell 1000 High Beta ETF 2.45% 6.46% 31.01% 14.75% 0.17% 2012-09-30
Russell 1000 High Momentum ETF 2.38% 4.59% 33.78% 16.84% 7.37% 2012-09-30
Russell 1000 High Volatility ETF 4.09% 7.08% 28.43% 18.44% 1.41% 2012-09-30
Russell 1000 Low Beta ETF 3.23% 4.98% 26.31% 14.72% 10.63% 2012-09-30
Russell 1000 Low Volatility ETF 2.35% 4.28% 23.48% 10.47% 8.00% 2012-09-30
Russell 2000 High Beta ETF 2.15% 5.90% 33.16% 12.41% -6.36% 2012-09-30
Russell 2000 High Momentum ETF 3.38% 6.72% 36.96% 17.79% 6.96% 2012-09-30
Russell 2000 High Volatility ETF 3.39% 3.29% 23.63% 9.86% -11.23% 2012-09-30
Russell 2000 Low Beta ETF 3.44% 3.96% 26.69% 13.18% 6.77% 2012-09-30
Russell 2000 Low Volatility ETF 2.22% 3.96% 27.25% 12.53% 6.19% 2012-09-30
Russell Aggressive Growth ETF 2.52% 6.84% 31.14% 18.70% 7.50% 2012-09-30
Russell Commodity Strategies Y 0.23% 4.50% -4.33% 4.50% 1.42% 2014-03-31
Russell Consistent Growth ETF 2.12% 6.30% 30.64% 17.99% 9.62% 2012-09-30
Russell Contrarian ETF 2.54% 6.06% 27.18% 13.86% -1.21% 2012-09-30
Russell Dev ex-U.S. High Momentum ETF 2.09% 7.34% 0.00% 10.09% 9.56% 2012-09-30
Russell Dev ex-U.S. Low Volatility ETF 1.87% 7.68% 0.00% 11.36% 12.13% 2012-09-30
Russell Developed ex-U.S. Low Beta ETF 2.73% 5.82% 0.00% 11.04% 10.39% 2012-09-30
Russell Emerging Markets Y 2.82% -0.61% -0.98% -0.61% 6.66% 2014-03-31
Russell Equity ETF 0.36% 1.21% 17.75% 1.21% 12.24% 2014-03-31
Russell Equity Income ETF 2.15% 5.07% 28.39% 13.55% 6.22% 2012-09-30
Russell Global Equity Y -0.61% 0.44% 19.43% 0.44% 8.22% 2014-03-31
Russell Global Infrastructure Y 2.53% 6.79% 16.76% 6.79% 12.20% 2014-03-31
Russell Global Opportunistic Credit Y 0.84% 2.42% 1.83% 2.42% 6.64% 2014-03-31
Russell Global Real Estate Secs Y 0.19% 3.90% 1.85% 3.90% 4.33% 2014-03-31
Russell Growth at a Reasonable Price ETF 2.27% 5.88% 27.20% 12.81% 6.65% 2012-09-30
Russell High Dividend Yield ETF 1.76% 2.49% 0.00% 0.00% 6.94% 2012-09-30
Russell International Developed Mkts I -1.04% 0.54% 18.78% 0.54% 9.66% 2014-03-31
Russell International Developed Mkts Y -1.01% 0.57% 18.90% 0.57% 2.88% 2014-03-31
Russell Investment Grade Bond E 0.15% 2.63% 6.70% 1.46% 5.77% 2012-02-29
Russell Investment Grade Bond I -0.26% 1.78% -0.54% 1.78% 8.36% 2014-03-31

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