The Russell 2500 ™ Index measures the performance of the small to mid-cap segment of
the U.S. equity universe, commonly referred to as «smid» cap.
The Russell 1000 Value Index measures the performance of the large - cap value segment of
the U.S. equity universe.
Russell 2000 ® Price Return Index — The Russell 2000 ® Price Return Index measures the performance of the small - cap segment of
the U.S. equity universe.
The Russell 2500 ™ Growth Index measures the performance of the small - to mid-cap growth segment of
the U.S. equity universe.
The Russell Top 200 ® Value Index measures the performance of the large - cap segment of
the U.S. equity universe represented by stocks in the largest 200 by market cap that exhibit value characteristics.
Russell 2000 Index measures the performance of the small - cap segment of
the U.S. equity universe.
Russell 2000 — The Russell 2000 Index measures the performance of the small - cap segment of
the U.S. equity universe.
Russell Mid Cap Index measures the performance of the mid-cap segment of
the U.S. equity universe.
Not exact matches
The Hartford International Opportunities Fund can help you diversify beyond the
U.S. and take advantage of opportunities anywhere in the international
equity universe.
Of course, if we limit our
universe to S&P 500
equities, then the
U.S. Equity Indexer's portfolio is passive (relative to that
universe).
We offer an expanded investment
universe with a range of funds that cover
U.S., international, and global
equity markets, including sector - specific funds.
The Hartford International Opportunities Fund can help you diversify beyond the
U.S. and take advantage of opportunities anywhere in the international
equity universe.
To select stocks from this quality
universe, GMO uses the stock selection approach that it has used since 1982 in
U.S. equity portfolios.
We define the
U.S. large - cap
equity universe as stocks whose market capitalizations are greater than the median market - cap on the NYSE.
The selection
universe for the S&P MidCap 400 Index includes all
U.S. common
equities listed on the NYSE, NYSE Arca, NYSE American, NASDAQ Global SelectMarket, NASDAQ Select Market, Investors Exchange (IEX), NASDAQ Capital Market, Bats BZX, Bats BYX, Bats EDGA, or Bats EDGX with market capitalizations generally between $ 1.6 billion and $ 6.8 billion at the time of inclusion.
In allocating HMA's portfolio, Landry selects the top ranked global asset classes, out of a current
universe of 16; which include in part, Canadian and
U.S. equities, emerging market
equities,
U.S. and Canadian bonds, real estate investment trusts, and gold.
The fund seeks exposure to the
universe of stocks in the
U.S. equity market, while titling individual weights towards those proficient in all five factors.