Hartford Multifactor Low Volatility International Equity TR Index

Name ISIN Index Shares
GUANGDONG INVESTMENT HK0270001396 1.942824
HYUNDAI HOME SHOPPING NETWORK ORD KR7057050007 0.064226
SEVEN & I HOLDINGS CO LTD ORD JP3422950000 0.008425
EAST JAPAN RAILWAY CO JP3783600004 0.065174
CANADIAN APT PROPERTIES REIT UNIT CA1349211054 0.135105
BOC AVIATION LTD SG9999015267 0.662777
HON HAI PRECN.IND. TW0002317005 1.097261
NIPPON BUILDING FUND INC. JP3027670003 0.000167
HALMA PLC GB0004052071 0.228442
QUANTA COMPUTER TW0002382009 0.226667
TRANSURBAN GROUP AU000000TCL6 0.601094
TIETOEVRY OYJ FI0009000277 0.205981
BCE INC CA05534B7604 0.129729
COLOPLAST AS CLASS B DK0060448595 0.043922
SKYLARK HOLDINGS CO LTD JP3396210001 0.39013
CRODA INTERNATIONAL PLC GB00BJFFLV09 0.098908
AGL ENERGY LTD AU000000AGL7 0.372942
LOBLAW COMPANIES LTD. CA5394811015 0.019437
KUALA LUMPUR KEPONG BHD MYL2445OO004 0.455599
KEYENCE CORP ORD JP3236200006 0.018749
SATS (SINGAPORE AIRPORT TERM) ORD SG1I52882764 0.929347
AURIZON HOLDINGS LTD AU000000AZJ1 1.849804
KANGWON LAND INC KR7035250000 0.236613
JAPAN REAL ESTATE INVT CORP ORD JP3027680002 0.000287
NAGOYA RAILROAD CO LTD ORD JP3649800004 0.061213
GRIFOLS SA CLASS A ES0171996087 0.061194
ELECTRICITY GENERATING PCL TH0465010005 0.182603
EVERLIGHT ELECTRONICS CO LTD TW0002393006 5.436694
POWER ASSETS HOLDINGS LTD HK0006000050 0.336258
CRH PLC IE0001827041 0.1708
TAIWAN MOBILE CO LTD TW0003045001 0.445172
ALIMENTATION COUCHE TARD INC CLASS B CA01626P4033 0.096666
TOYOTA MOTOR CORP JP3633400001 0.091828
AIRPORTS OF THAILAND PCL TH0765010Z08 3.034425
CLP HOLDINGS LTD HK0002007356 0.507024
JAPAN RETAIL FUND INVESTMENT ORD JP3039710003 0.000084
KINTETSU GROUP HOLDINGS CO LTD JP3260800002 0.139105
TELEKOMUNIKASI INDONESIA TBK PT ID1000129000 19.764428
ROYAL BANK OF CANADA CA7800871021 0.046822
GS HOME SHOPPING INC. KR7028150001 0.016875
KOC HOLDING AS TRAKCHOL91Q8 0.367947
COMMONWEALTH BANK OF AUSTRALIA AU000000CBA7 0.081434
CHANDRA ASRI PETROCHEMICAL ID1000090301 11.046813
UNILEVER NV NL0000388619 0.109066
BRIDGESTONE CORP ORD JP3830800003 0.158237
DIAGEO PLC GB0002374006 0.166361
ANA HOLDINGS INC JP3429800000 0.172173
AMBEV SA BRABEVACNOR1 0.692238
SIAM CEMENT PCL TH0003010Z04 0.39962
VTECH (V TECH) HOLDINGS LTD ORD BMG9400S1329 0.221535
DOGAN SIRKETLER GRUBU HLDGS TRADOHOL91Q8 17.245415
NTT DOCOMO INC. JP3165650007 0.223587
NATIONAL AUSTRALIA BANK LTD AU000000NAB4 0.267355
LG CORP KR7003550001 0.059681
SHINHAN FINANCIAL GROUP CO LTD KR7055550008 0.066045
ITOCHU CORP ORD JP3143600009 0.268564
VIVENDI SA FR0000127771 0.068296
ESSILORLUXOTTICA FR0000121667 0.042148
CHUNGHWA TELECOM CO LTD ORD TW0002412004 1.67128
BANK OF MONTREAL CA0636711016 0.063306
ASCENDAS REAL ESTATE INVESTMENT TRUST SG1M77906915 0.095098
VODAFONE GROUP PLC GB00BH4HKS39 3.514235
HDFC BANK LTD-ADR US40415F1012 0.063909
SHAW COMMUNICATIONS INC CLASS B CA82028K2002 0.315626
KONE OYJ CLASS B FI0009013403 0.105743
BAE SYSTEMS PLC GB0002634946 0.628741
WESFARMERS LTD AU000000WES1 0.225373
LG UPLUS ( LG TELECOM) CORP ORD KR7032640005 0.561596
INDOFOOD CBP SUKSES MAKMUR T ID1000116700 3.17934
WOOLWORTHS GROUP LTD AU000000WOW2 0.239014
NIPPON TELEGRAPH & TELEPHONE ORD JP3735400008 0.263048
FERGUSON PLC JE00BJVNSS43 0.067012
JAPAN LOGISTICS FUND INC ORD JP3046230003 0.001225
ALONY HETZ PROPERTIES & INV IL0003900136 0.036806
GIVAUDAN SA CH0010645932 0.001828
POU CHEN CORP ORD TW0009904003 1.239298
KT CORP KR7030200000 0.247361
KEPCO PLANT SERVICE & ENGINEER ORD KR7051600005 0.213942
SIEMENS AG DE0007236101 0.058487
UOL GROUP LTD ORD SG1S83002349 0.371161
SCOUT24 AG DE000A12DM80 0.089521
ASTRAZENECA PLC GB0009895292 0.065424
KEIHAN HOLDINGS CO LTD JP3279400000 0.005139
NICE LTD IL0002730112 0.036058
HERMES INTERNATIONAL SCA FR0000052292 0.00837
PING AN INSURANCE GROUP CO-H CNE1000003X6 0.534009
HANNOVER RUCK SE DE0008402215 0.032687
DENSO CORP ORD JP3551500006 0.123835
AUSTRALIA AND NEW ZEALAND BANKING GROUP LIMITED AU000000ANZ3 0.291445
ROYAL DSM NV NL0000009827 0.018047
NOVARTIS AG CH0012005267 0.070885
CP ALL PCL TH0737010Y08 2.40109
AMCOR LTD AU000000AMC4 0.596911
KLCCP STAPLED GROUP MYL5235SS008 0.684905
SEKISUI HOUSE LTD ORD JP3420600003 0.307285
RENTOKIL INITIAL PLC GB00B082RF11 0.893073
QUEBECOR INC - CL B CA7481932084 0.052774
ATLANTICA SUSTAINABLE INFRASTRUCTURE PLC GB00BLP5YB54 0.208675
CHINA CONCH VENTURE HOLDINGS KYG2116J1085 1.154751
CHINA CONSTRUCTION BANK-H CNE1000002H1 7.244305
COMPASS GROUP PLC GB00BD6K4575 0.273918
PCCW LTD ORD HK0008011667 10.026993
IMPERIAL OIL LTD CA4530384086 0.021557
ELISA OYJ CLASS A FI0009007884 0.029424
SIKA AG CH0418792922 0.031662
GEORGE WESTON LTD CA9611485090 0.0129
BANK OF NOVA SCOTIA CA0641491075 0.076934
AMPOL LTD AU0000088338 0.277753
RAMSAY HEALTH CARE LTD ORD AU000000RHC8 0.129436
WIPRO LTD-ADR US97651M1099 1.531625
BP PLC GB0007980591 1.130788
SEIKO EPSON CORP ORD JP3414750004 0.43558
AGILE GROUP HOLDINGS LTD KYG011981035 4.232408
GEBERIT AG CH0030170408 0.000783
KYOCERA CORP ORD JP3249600002 0.096962
MURATA MANUFACTURING LTD ORD JP3914400001 0.112532
SONIC HEALTHCARE (TECH AUST) ORD AU000000SHL7 0.307674
COMPUTERSHARE LTD ORD AU000000CPU5 0.604696
COFINIMMO SA BE0003593044 0.005841
KB FINANCIAL GROUP INC KR7105560007 0.027675
ANSELL LTD ORD AU000000ANN9 0.238711
SINGAPORE TELECOMMUNICATIONS LIMITED SG1T75931496 1.982474
ENEL AMERICAS SA CLP371861061 33.033496
WNS HOLDINGS LTD US92932M1018 0.09278
SUPREME ELECTRONICS CO LTD TW0008112004 0.318921
HSBC HOLDINGS PLC GB0005405286 0.754079
SM INVESTMENTS CORP PHY806761029 0.16193
BIM BIRLESIK MAGAZALAR AS TREBIMM00018 0.554687
SAMSUNG ELECTRONICS CO LTD KR7005930003 0.129757
AKZO NOBEL NV NL0013267909 0.07421
CHINA RESOURCES CEMENT HOLDINGS LTD KYG2113L1068 4.635495
ORIENTAL LAND CO LTD ORD JP3198900007 0.049471
UNI-PRESIDENT ENTERPRISES CO TW0001216000 2.50692
ASTRA INTERNATIONAL TBK PT ID1000122807 12.580774
RIGHTMOVE PLC GB00BGDT3G23 0.750033
MIZUHO FINANCIAL GROUP INC JP3885780001 1.220366
CANADIAN TIRE CORP-CLASS A CA1366812024 0.057718
COCHLEAR LTD AU000000COH5 0.017722
VINCI SA FR0000125486 0.005578
ENBRIDGE INC CA29250N1050 0.158521
CHECK POINT SOFTWARE TECH L ORD IL0010824113 0.059841
TALANX AG DE000TLX1005 0.130969
ADVANCED INFO SERVICE PCL TH0268010Z03 0.175234
POLYMETAL INTERNATIONAL PLC JE00B6T5S470 0.370632
PANDOX AB SE0007100359 0.323545
FUYAO GLASS INDUSTRY GROUP-H CNE100001TR7 1.5371
ROYAL DUTCH SHELL PLC ORD A GB00B03MLX29 0.272233
YAMADA DENKI CO LTD JP3939000000 1.251133
BAYSIDE LAND CORP. LTD. IL0007590198 0.007224
UNILEVER INDONESIA TBK PT ID1000095706 9.528669
DEUTSCHE TELEKOM AG DE0005557508 0.364365
SAGE GROUP PLC GB00B8C3BL03 0.668596
ENI SPA IT0003132476 0.483832
NOVO NORDISK A/S DK0060534915 0.0959
SHENZHOU INTERNATIONAL GROUP HOLDINGS LTD KYG8087W1015 0.468194
SWISSCOM AG CH0008742519 0.002956
HONG KONG & CHINA GAS LTD ORD HK0003000038 2.548548
ASTELLAS PHARMA INC JP3942400007 0.383537
SUNCOR ENERGY INC CA8672241079 0.227745
THOMSON REUTERS CORP CA8849037095 0.043838
SWISS RE AG CH0126881561 0.061673
POSTAL SAVINGS BANK OF CHINA C CNE1000029W3 9.497111
HASEKO CORP ORD JP3768600003 0.472143
FOMENTO ECONOMICO MEXICA - UBD MXP320321310 0.401666
CANADIAN NATIONAL RAILWAY COMPANY CA1363751027 0.070386
LINK REIT HK0823032773 0.557498
TAIWAN SEMICONDUCTOR MANUFAC TW0002330008 0.568498
TOKIO MARINE HOLDINGS INC JP3910660004 0.030167
CHINA VANKE CO LTD-H CNE100001SR9 1.519538
EQUINOR ASA NO0010096985 0.268106
RIOCAN REAL ESTATE INVESTMENT TRUST CA7669101031 0.312108
CK HUTCHISON HOLDINGS LTD KYG217651051 0.458695
RITCHIE BROS AUCTIONEERS INCORPORATED CA7677441056 0.025194
TOBU RAILWAY CO LTD JP3597800006 0.015452
TOKYO ELECTRON LTD ORD JP3571400005 0.028271
SK TELECOM CO LTD KR7017670001 0.027058
BASF SE DE000BASF111 0.067094
KDDI CORP (DDI) ORD JP3496400007 0.212077
WSP GLOBAL INC CA92938W2022 0.042683
FAR EASTONE TELECOM. TW0004904008 0.358828
ATEA ASA NO0004822503 0.443229
S1 CORP ORD KR7012750006 0.067479
AZBIL (YAMATAKE) CORP ORD JP3937200008 0.240459
MITSUBISHI CORP JP3898400001 0.115121
HYUNDAI MOTOR CO KR7005380001 0.0515
PAZ OIL CO LTD ORD IL0011000077 0.035419
ZHONGSHENG GROUP HOLDINGS KYG9894K1085 1.611234
LONGFOR GROUP HOLDINGS LTD KYG5635P1090 1.292553
HKBN LTD KYG451581055 3.304511
CHUGAI PHARMACEUTICAL CO LTD ORD JP3519400000 0.056715
NAN YA PLASTIC TW0001303006 0.523611
INFORMA PLC GB00BMJ6DW54 0.674073
MISC BHD MYL3816OO005 3.39569
DIGI.COM BHD MYL6947OO005 5.531952
SECOM CO LTD ORD JP3421800008 0.074652
NANKAI ELECTRIC RAILWAY CO LTD ORD JP3653000004 0.007074
TC ENERGY CORP CA87807B1076 0.113102
TOTAL SA FR0000120271 0.136831
SODA SANAYII TRASODAS91E5 4.234261
RESILIENT REIT LTD ZAE000209557 0.070298
WESTPAC BANKING CORPORATION AU000000WBC1 0.097211
AYALA LAND INC PHY0488F1004 2.348257
FORTRESS REIT LTD CLASS A ZAE000248498 4.768982
MOWI ASA NO0003054108 0.218941
MCDONALDS HOLDING CO JAPAN ORD JP3750500005 0.13518
ROCHE HOLDING AG CH0012032048 0.017908
MMC NORILSK NICKEL PJSC US55315J1025 0.067793
ISKENDERUN DEMIR VE CELIK AS TREISDC00020 5.034549
TENAGA NASIONAL BHD MYL5347OO009 0.824177
MUNICH REINSURANCE COMPANY DE0008430026 0.022673
AIR LIQUIDE SA FR0000120073 0.042414
ALLIANZ SE DE0008404005 0.023675
DAIICHIKOSHO CO LTD ORD JP3475200006 0.145684
SM PRIME HOLDINGS INC PHY8076N1120 7.816274
MAPLETREE LOGISTICS TRUST SG1S03926213 0.902275
RADWARE LTD IL0010834765 0.233397
SAP SE DE0007164600 0.047638
TELIA CO AB SE0000667925 1.416572
FIELMANN AG DE0005772206 0.084795
ORKLA ASA NO0003733800 0.665446
NESTLE SA CH0038863350 0.055566
DSV PANALPINA A S DK0060079531 0.055672
INDUSTRIA DE DISENO TEXTIL SA ES0148396007 0.192701
PEMBINA PIPELINE CORP CA7063271034 0.167003
INTER PIPELINE LTD CA45833V1094 0.408202
CGI INC - CLASS A CA12532H1047 0.031025
ENKA INSAAT VE SANAYI AS TREENKA00011 5.63279
GRANDVISION NV NL0010937066 0.194935
TELUS CORPORATION CA87971M1032 0.322265
CITIC LTD HK0267001375 4.063723
L OREAL SA FR0000120321 0.017076
ORANGE SA FR0000133308 0.416455
CANON INC JP3242800005 0.23646
ASSA ABLOY AB CLASS B SE0007100581 0.259847
GALP ENERGIA SGPS SA CLASS B PTGAL0AM0009 0.090901
NONGSHIM CO LTD ORD KR7004370003 0.019225
CSL LTD ORD AU000000CSL8 0.029018
PARKLAND CORP CA70137W1086 0.198446
INVESTOR AB CLASS B SE0000107419 0.11457
HITACHI LTD JP3788600009 0.067828
RELX PLC GB00B2B0DG97 0.244322
BANGKOK DUSIT MED SERVICE TH0264A10Z04 8.354693
KAKAO CORP KR7035720002 0.029451
EIFFAGE SA FR0000130452 0.055523
MITSUI & CO LTD JP3893600001 0.158407
CHINA TELECOM CORP LTD CNE1000002V2 11.378134
INDOFOOD SUKSES MAKMUR TBK PT ID1000057003 6.393229
TOFAS TURK OTOMOBIL FABRIKA TRATOASO91H3 0.84187
CHINA MOBILE LTD HK0941009539 0.624094
HANKYU HANSHIN HOLDINGS INC JP3774200004 0.008253
ADIDAS AG DE000A1EWWW0 0.021435
KIA MOTORS CORP KR7000270009 0.163987
GLAXOSMITHKLINE PLC GB0009252882 0.291804
CHONG HONG CONSTRUCTION CO TW0005534002 2.120914
ORICA LTD ORD AU000000ORI1 0.450299
CHINA MERCHANTS BANK-H CNE1000002M1 0.066532
IND & COMM BK OF CHINA-H CNE1000003G1 8.620993
EXPERIAN PLC GB00B19NLV48 0.166864
SANOFI SA FR0000120578 0.062495
SMITH & NEPHEW PLC GB0009223206 0.26155
MITSUBISHI ELECTRIC CORP JP3902400005 0.351867
BANK CENTRAL ASIA TBK PT ID1000109507 2.718005
MERCK KGAA DE0006599905 0.047549
INTERTEK GROUP PLC GB0031638363 0.056664
TELENOR ASA NO0010063308 0.353744
NIPPON KAYAKU CO LTD ORD JP3694400007 0.42735
SMITHS GROUP PLC GB00B1WY2338 0.121442
HIGHWEALTH CONSTRUCTION CORP ORD TW0002542008 1.729735
ICON PLC IE0005711209 0.037746
CHONG KUN DANG PHARMACEUTICA KR7185750007 0.012836
KAKEN PHARMACEUTICAL CO LTD ORD JP3207000005 0.121358
SYMRISE AG DE000SYM9999 0.058839

Master Data

ISIN: DE000SLA2142
Bloomberg Ticker: LLVINX Index
WKN:

Current quotes

Last quote 05/22/2020, 22:49: 1119.87 XXP
Day range: 1119.87 / 1119.87 XXP
Change abs./rel.: 0.00 / 0.00%
Year range: 908.88 / 1365.62 XXP

Documents