- What are the top holdings of ECON?
- Columbia Research Enhanced Emerging Economies ETF holds 211 securities in total. The largest positions and their portfolio weights are listed on the Holdings tab.
- How many holdings does ECON have?
- ECON holds 211 positions as reported by the fund's most recent disclosure.
- What sectors does ECON invest in?
- Columbia Research Enhanced Emerging Economies ETF (ECON) allocates across the sectors shown above. The largest exposure tops the list; the rest follow in descending weight order.
- What sector is ECON most exposed to?
- ECON's full sector breakdown is on the Sectors tab. The largest sector weight is shown there along with the rest of the allocation.
- Is ECON a US-only fund?
- The country allocation card on this page shows ECON's geographic exposure. Funds with > 95% US weight are effectively US-only; international or global funds will show meaningful weights across multiple countries.
- What does ECON invest in?
- ECON seeks to track an index of companies located in emerging market countries. The portfolio includes securities screened from its parent index, composed of large- and midcap securities with growth and value characteristics. Roughly 325 - 400 securities are selected through rules-based, strategic beta approach, which considers company quality, value, and catalyst factors. Weighting is based on free-float market-cap. Reconstitution is done semi-annually in May and November. Prior to Oct 19, 2016, the fund had a different name reflecting EGShares as issuer. Columbia acquired EGShares on Sep 1, 2016. Prior to Mar 18, 2019, ECON tracked a related index of 30 emerging-market consumer companies. Prior to Jun 28, 2024, the fund was named Columbia Emerging Markets Consumer ETF, and tracked the Dow Jones Emerging Markets Consumer Titans Index.