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MFDX

·ARCA
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Key Stats
Assets Under Management
404.23MUSD
Fund Flows (1Y)
42.28MUSD
Dividend Yield
2.50%
Discount/Premium to NAV
0.01%
Shares Outstanding
10.60M
Expense Ratio
0.39%
About PIMCO RAFI Dynamic Multi-Factor International Equity ETF
Issuer
PIMCO
Brand
PIMCO
Inception Date
Aug 31, 2017
Structure
Open-Ended Fund
Index Tracked
RAFI Dynamic Multi-Factor Developed Ex-U.S. Index
Management Style
Passive
Dividend Treatment
Distributes
Distribution Tax Treatment
Qualified dividends
Income Tax Type
Capital Gains
Max ST Capital Gains Rate
39.60%
Max LT Capital Gains Rate
20.00%
Primary Advisor
Pacific Investment Management Co. LLC
Distributor
PIMCO Investments LLC
MFDX's RAFI index aims for increased exposure to outperforming investment factors. The methodology calculates a fundamental weight—a stand-in for market cap—for each security in its universe, using four metrics: current book value, and the past five years of de-levered sales, cash flow, and dividends plus buybacks. Each security is also scored on five investment factors: value, low volatility, quality, momentum, and size. After screening out the smallest firms by fundamental weight, the index generates a sub-portfolio for each factor. For the value, quality, and low volatility portfolios, stocks are ranked by the factor score and the top 25% by fundamental weight are selected. The momentum portfolio selects the top 50%. The size portfolio includes all of the small-cap firms from other four portfolios. All sub-portfolios are weighted by fundamental weight. The factor portfolios are equally weighted, with subsequent adjustments made according to each factor's momentum and long-term reversal signals. The index uses a rolling rebalance, only rebalancing 25% of each sub-portfolio every quarter. MFDX offers a distinctive take on factor investing.
Classification
Asset Class
Equity
Category
Size and Style
Focus
Total Market
Niche
Broad-based
Strategy
Multi-factor
Geography
Developed Markets
Weighting Scheme
Tiered
Selection Criteria
Multi-factor
Returns
1-Month
3-Month
YTD
1-Year
3-Year
5-Year
Price Performance
+2.33%+2.74%+30.00%+26.12%+49.22%+41.97%
NAV Total Return
+1.54%+3.02%+32.67%+27.05%+60.24%+63.20%
Ratings

No data is currently available

Ainvest’s AI-powered ETF Scoring Algorithm, built to help retail investors make smarter, data-driven decisions. Leveraging deep learning, reinforcement learning, and large language models, the algorithm scores ETFs across five key dimensions: Fund Flow, Momentum, Safety, Fundamentals, and Performance. Each factor is weighted by its correlation to future returns, resulting in a single, actionable score. Backtested over five years with consistently strong predictive accuracy. Ainvest brings institutional-grade artificial intelligence to everyday investors—transforming complexity into clarity with every score.
Holdings Analysis

Sector

Financial Services

21.63%

Industrials

18.83%

Consumer Defensive

9.74%

Consumer Cyclical

9.24%

Basic Materials

8.28%

Communication Services

7.56%

Healthcare

7.16%

Technology

6.18%

Utilities

4.75%

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Asset

Region

53.17%
29.58%
10.74%
4.64%
1.85%
0.03%

Category

Ratio

Europe

53.17%

Asia

29.58%

North America

10.74%

Australasia

4.64%

Africa/Middle East

1.85%

Latin America

0.03%

Investment Style

Mega
Large
Medium
Multi
Small
Value
Blend
Growth

Large-Cap Blend

Invests in large-cap companies with both growth and value characteristics. These ETFs offer diversified exposure to stable, well-established companies.

Top 10 Holdings

Symbol

Ratio

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BRITISH AMERICAN TOBACCO PLC COMMON STOCK

1.13%
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BANCO SANTANDER SA COMMON STOCK EUR.5

0.95%
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ROCHE HOLDING AG GENUSSCHEIN COMMON STOCK

0.78%
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HSBC HOLDINGS PLC COMMON STOCK USD.5

0.78%
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SOCIETE GENERALE SA COMMON STOCK EUR1.25

0.77%
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ZURICH INSURANCE GROUP AG COMMON STOCK CHF.1

0.75%
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ORANGE COMMON STOCK EUR4.0

0.71%
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NOVARTIS AG REG COMMON STOCK CHF.49

0.71%
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UNILEVER PLC COMMON STOCK GBP.00031111

0.66%
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NINTENDO CO LTD COMMON STOCK

0.64%

Top 10 Weight 7.88%

1301 Total Holdings

Dividends

Dividend Payout History

Declaration Date
Record Date
Payment Date
Amount
2025-10-012025-10-012025-10-030.210
2025-07-012025-07-012025-07-030.380
2025-04-012025-04-012025-04-030.220
2024-12-312024-12-312025-01-030.150
2024-10-012024-10-012024-10-030.254
2024-07-012024-07-012024-07-030.400
2024-04-012024-04-022024-04-040.130

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Premium/Discount Chart
Premium/Discount to NAV
Price
Assets Under Management
Assets Under Management
Fund Flows
Inflows
Outflows