EMCR ISSUER
The issuer of the EMCR ETF, which stands for Environmental, Social, and Governance (ESG) Market Capitalization ETF, is committed to responsible and sustainable investing. This ETF is designed to track the performance of the MSCI ESG Leaders USA Large Cap Index, which comprises large capitalization companies in the United States that meet stringent ESG criteria. The issuer's dedication to promoting environmental stewardship, social responsibility, and good governance is evident in their selection of companies that align with these principles, providing investors with an opportunity to support companies making positive impacts in these areas.
EMCR DIVIDEND
The iShares MSCI USA ESG Screened UCITS ETF (EMCR) focuses on delivering investment results that align with environmental, social, and governance (ESG) criteria. While its primary objective is ESG screening, EMCR reflects the dividend distribution of the underlying MSCI USA Index, comprised of large-cap U.S. companies. Investors can expect periodic dividend distributions influenced by the dividend policies and performances of these constituent companies, making EMCR a potential choice for those seeking both ESG-aligned investments and dividend returns.
EMCR TRACKING
The Emles Made in America ETF (EMCR) tracks an index composed of U.S. companies that employ innovative technologies and ideas to gain a competitive edge in the market. EMCR primarily invests in large-cap equity securities traded on U.S. exchanges, including common stocks, preferred stocks, ADRs, rights, warrants, and IPO offerings. With a focus on bottom-up security selection, EMCR's investment process encompasses macroeconomic analysis, fundamental research, and technical analysis. This ETF strives to capture the growth potential of companies with strong fundamentals and a track record of innovative thinking, offering investors exposure to innovation-driven American businesses.
EMCR CORRELATION
Understanding the correlation dynamics of the EMCR ETF, managed by Principal Investment Strategies, is essential for investors seeking exposure to income-generating options strategies. EMCR employs an actively managed approach, combining interest income from U.S. Treasury securities and income-generating option strategies, primarily on equity and fixed income ETFs. While specific correlation data for EMCR may vary depending on its option positions, its unique blend of income strategies offers potential diversification benefits. To delve deeper into EMCR's correlation profile and gain valuable insights, investors can leverage ETF Insider's web app, which provides comprehensive visualization tools for studying correlations among various U.S. ETFs, including EMCR, and identifying overlaps that can inform investment decisions.
EMCR SECTOR
The Emles Made in America ETF (EMCR) is primarily focused on the U.S. consumer discretionary sector, which includes companies that produce non-essential goods and services. This sector encompasses a wide range of industries, such as retail, entertainment, and automotive, offering investors exposure to the spending habits and sentiments of consumers. EMCR seeks to capitalize on the strength of American consumer-driven industries, providing potential growth opportunities tied to domestic economic conditions.
EMCR EXPOSURE
The First Trust Emerging Markets Composite ETF (EMCR) offers investors exposure to a diverse range of emerging market economies and sectors. EMCR tracks the performance of the Zacks Emerging Markets Composite Index, which includes companies from both domestic and international markets listed on major U.S. exchanges. With holdings spanning various market capitalizations and sectors, including technology, healthcare, and consumer goods, EMCR provides a comprehensive entry point into the dynamic landscape of emerging markets.