RHCB ISSUER
The issuer of the RHCB ETF, which stands for Responsible and Sustainable High Yield Bond, is committed to promoting responsible and sustainable investing principles. RHCB aims to provide investors with exposure to high-yield bonds issued by companies that prioritize environmental, social, and governance (ESG) factors in their business practices. The issuer employs a rigorous ESG evaluation process that includes proprietary ESG scores, qualitative and quantitative data analysis, and a screening mechanism to exclude issuers that do not meet ESG standards. Additionally, the RHCB ETF may invest in bonds issued by companies with clear plans for addressing ESG concerns, further aligning with sustainable investment objectives.
RHCB DIVIDEND
The RHCB Dividend ETF focuses on delivering regular dividend income to investors seeking income-oriented investments. This fund aims to provide consistent dividend distributions by investing in a diversified portfolio of dividend-paying stocks. RHCB typically distributes dividends on a quarterly basis, and eligibility for these distributions is determined by the dividend policies and performances of the underlying companies within the ETF's portfolio. Investors looking for a blend of dividend income and potential capital appreciation may find RHCB to be a suitable choice.
RHCB TRACKING
The RHCB ETF, or BNY Mellon Responsible Horizons Corporate Bond ETF, aims to track an innovative investment strategy centered around Environmental, Social, and Governance (ESG) principles. RHCB utilizes a combination of external and internal ESG research, coupled with bottom-up credit research and relative value assessments, to select securities for its portfolio. This approach evaluates potential investments based on various ESG criteria, including environmental analysis (carbon emissions, energy sources), social analysis (human rights, diversity), and governance analysis (corporate governance, transparency). RHCB also applies specific screening criteria to exclude issuers in industries deemed unsuitable for the fund due to their vulnerability to ESG risks, such as tobacco, gambling, and controversial weapons. The fund's commitment to ESG principles, combined with its credit research, aims to identify investments with attractive total return potential while aligning with sustainability goals.
RHCB CORRELATION
While specific correlation details for the RHCB ETF are not provided, understanding its correlation dynamics is crucial for investors assessing its behavior within the market. Investors can leverage the ETF Insider web app to explore in-depth correlation data for RHCB and gain valuable insights into its relationship with various market factors. ETF Insider's intuitive visualization tool facilitates a comprehensive analysis, revealing correlations, overlaps, and connections with other assets, assisting investors in making informed decisions and implementing effective risk management strategies within their portfolios.
RHCB SECTOR
The RHCB Sector ETF is primarily focused on evaluating potential investments for its portfolio using a combination of external and internal ESG research, along with a bottom-up credit research and relative value assessments. The ESG evaluation includes analyzing environmental, social, and governance factors, assigning ESG scores to issuers, and screening out unsuitable issuers, industries, and sectors. RHCB Sector ETF aims to invest in securities that align with ESG principles and may also utilize derivative instruments for risk management and return enhancement while adhering to strict ESG criteria.
RHCB EXPOSURE
The exposure characteristic of the RHCB ETF is focused on sustainable and responsible investing. The ETF primarily invests in companies that adhere to strict ESG (Environmental, Social, and Governance) criteria. It aims to exclude issuers and industries with high ESG risks, such as tobacco, cannabis, gambling, controversial weapons, and coal extraction, thereby promoting a more sustainable and ethical investment approach. RHCB ETF employs a proprietary ESG scoring system to assess issuers and ensure that investments align with its responsible investment goals. Investors looking to align their portfolios with socially responsible investing principles may find the RHCB ETF a suitable choice.