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Last updated 05.27.2025

Rayliant Quantamental Emerging Market ex-China Equity ETF

Last updated 05.27.2025

The Rayliant Quantamental Emerging Market ex-China Equity ETF is an active strategy that employs big data and sophisticated quantitative models to identify investment opportunities in emerging market stocks traded around the world.
Note: As of 10/24/2023, the fund's name and benchmark was changed.

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Performance

(as of 04/30/2025)

Monthly Quarterly

1-MO 3-MO 1Y 3Y 5Y YTD Since Inception (12.15.2021)
RAYE NAV (%) 3.18% -2.74% -0.65% 5.07% -2.87% 0.82%
RAYE Market Price (%) 3.12% -2.16% -0.26% 5.67% -2.69% 0.94%
MSCI Emerging Markets ex China Index (%) 3.89% 0.07% 3.95% 3.69% 2.21% -0.10%

Benchmark Information

The MSCI Emerging Markets ex China Index captures large and mid cap representation across 23 of the 24 Emerging Markets (EM) countries excluding China. With 680 constituents, the index covers approximately 85% of the free float-adjusted market capitalization in each country.

Benchmark Disclosure

The benchmark depicted in the table is a linked benchmark, representing the performance of the MSCI Emerging Markets Index from the Fund’s inception, through Oct. 23, 2023, and the MSCI Emerging Markets ex-China Index thereafter. On Oct. 24, 2023, the Fund underwent a strategy change from a global Emerging Markets strategy to an Emerging Markets exChina strategy, at which point the Fund’s benchmark changed, accordingly.

Performance Disclosure

The performance quoted represents past performance and does not guarantee future results. Performance for periods greater than 1 year is annualized. Investment return and principal value of an investment will fluctuate so that an investor's shares, when sold or redeemed, may be worth more or less than the original cost.

Current performance may be lower or higher than the performance quoted.
Shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. The returns shown do not represent the returns you would receive if you traded shares at other times. Brokerage commissions will reduce returns. The market price returns are based on the official closing price of an ETF share or, if the official closing price isn't available, the midpoint between the national best bid and national best offer (“NBBO”) as of the time the ETF calculates current NAV per share. NAVs are calculated using prices as of 4:00 PM Eastern Time.

Key Facts

Inception Date 12.15.2021
Ticker RAYE
Primary Exchange NYSE
Net Expense Ratio* 0.88%
CUSIP 00775Y710
Premium/Discount 0.00%
30-Day Median Bid/Ask Spread ¹  0.4125%
Gross Expense Ratio* 1.46%

¹ 30-Day Median Bid/Ask Spread: The spread is calculated by identifying the ETF’s national best bid and national best offer ("NBBO") as of the end of each 10 second interval during each trading day of the last 30 calendar days and dividing the difference between each such bid and offer by the midpoint of the NBBO.

The median of those values is identified and that value is expressed as a percentage rounded to the nearest hundredth.

* A full explanation of expenses and fees are stated in the prospectus. Fee waivers are contractual and in effect until 1/31/2026.

Investment Objective

The Rayliant Quantamental Emerging Market ex-China Equity ETF (the “Fund”) seeks long-term capital appreciation.

Fund Highlights

RAYE Rayliant Quantamental Emerging Market ex-China Equity ETF

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Historical Premium
/ Discount Data

Number
of Days At:
2024 2025
Q1
2025
Q2
Premium 186 40 18
NAV 9 0 1
Discount 57 20 20

Chart Description

The Premium/Discount History chart demonstrates the difference between the daily market price of shares of the Fund and the Fund’s net asset value (NAV).
The vertical axis of the chart shows the premium or discount of the daily market price as a percentage of the NAV. The horizontal axis shows each trading day in the time period, and each data point in the chart represents the Premium/Discount on that day. The data presented in the chart and table above represent past performance and cannot be used to predict future results.

Top 10 Holdings

(as of 05.28.2025) Holdings are subject to change.

Ticker Company Name % of Net Assets SEDOL Quantity
Cash 0.52 % 350574.25
BRAZILIAN REAL 0 % BRL 0.03
CZECH REPUBLIC KORUNA 0 % CZK 631.27
EURO 0 % EUR 122.48
HONG KONG DOLLAR 0 % HKD 635.97
HUNGARIAN FORINT 0 % HUF 221932.69
INDIA RUPEE 0 % INR 248727.20
INDONESIA RUPIAH 0 % IDR 19303740.00
MALAYSIAN RINGGIT 0 % MYR 0.52
MEXICAN PESO 0 % MXN 6930.40
POLISH ZLOTY 0 % PLN 75.40
QATAR RIYAL SPOT 0 % QAR 54.30
SAUDI RIYAL 0 % SAR 756.55
SOUTH AFRICAN RAND 0 % ZAR 28065.70
TAIWAN DOLLAR 0 % TWD 171.00
THAILAND BAHT 0 % THB 85989.40
UAE DIRHAM 0 % AED 3003.57
AOTHAIM ABDULLAH AL OTHA 0.46 % B3BQB93 144788.00
2345 ACCTON TECHNOLOGY CORP 1.39 % 6005214 39000.00
ADNOCDRI UH ADNOC DRILLING CO PJSC 0.6 % BN12D39 287826.00
ADRO ALAMTRI RESOURCES IND 0.38 % B3BQFC4 1814800.00
ALFAA ALFA S.A.B.-A 0.44 % 2043423 384000.00
AMBER AMBER ENTERPRISE 0.31 % BDDX4S2 2783.00
AMM AMMB HOLDINGS BHD 0.57 % 6047023 310000.00
1102 ASIA CEMENT CORP 0.62 % 6056331 297000.00
BAF BAJAJ FINANCE LTD 0.34 % BD2N0P2 2130.00
BJHI BAJAJ HOLDINGS A 0.83 % 6124142 3466.00
BBDC3 BANCO BRADESCO S.A. 0.5 % B00FM86 139200.00
BBL BANGKOK BANK PUB 1.84 % 6077008 279400.00
BBSE3 BB SEGURIDADE PA 0.99 % B9N3SQ0 98000.00
BHARTI BHARTI AIRTEL LTD 1.52 % 6442327 47496.00
BBDC4 Banco Bradesco SA 1.86 % B00FM53 443500.00
CCC CCC SA 0.69 % B04QR13 7337.00
CBC CHINA BANKING CORP 1.02 % B8B4VL4 501560.00
CIFC CHOLAMANDALAM IN 0.22 % BJ9K2H4 7789.00
COHANCE COHANCE LIFESCIENCES LTD 0.2 % BKTQQK0 10547.00
CLGT COLGATE PALMOLIVE (INDIA) 0.84 % 6139696 19446.00
CRIN COROMANDEL INTER 1.9 % B0VDZN5 45367.00
ALARKAN DAR AL ARKAN REA 0.33 % B2NC4X7 42915.00
DNP DINO POLSKA SA 0.61 % BD0YVN2 2801.00
DIVI DIVI'S LABORATORIES LTD 0.21 % 6602518 1827.00
DIXON DIXON TECHNOLOGI 1.16 % BNC5412 4437.00
DHBK DOHA BANK QPSC 0.9 % 6273420 887971.00
EMAARDEV UH EMAAR DEVELOPMENT PJSC 0.66 % BDG1977 122179.00
HMN EMAMI LTD 1.04 % 6741035 102167.00
DU EMIRATES INTEGRA 1.45 % B13TMN7 397090.00
2603 EVERGREEN MARINE CORP LTD 1.01 % 6324500 81000.00
ANDINAB Embotelladora Andina SA 1.89 % 2311454 284437.00
FALAB FALABELLA SA 0.41 % 2771672 54336.00
FMTY14 FIBRA MTY SAPI DE CV 0.26 % BTFRPD6 250200.00
2881 FUBON FINANCIAL 2.45 % 6411673 618400.00
SIBN GAZPROM NEFT PJSC 0 % B59L417 111970.00
GVTD GE VERNOVA T&D INDIA LTD 0.35 % 6139890 9181.00
GENTERA* MM GENTERA SAB DE CV 0.36 % BHWQZW1 121500.00
GLXO GLAXOSMITHKLINE 1.13 % 6117982 20856.00
GNP GLENMARK PHARMA 1.8 % 6698755 74998.00
086790 HANA FINANCIAL GROUP 1.81 % B0RNRF5 23940.00
HCLT HCL TECHNOLOGIES LTD 2 % 6294896 69724.00
267250 HD HYUNDAI 0.49 % BD4HFT1 5268.00
329180 HD HYUNDAI HEAVY INDUSTRI 0.75 % BMDHSH4 1693.00
009540 HD KOREA SHIPBUI 0.67 % 6446620 2099.00
HDFCB HDFC BANK LIMITED 0.27 % BK1N461 8212.00
HPCL HINDUSTAN PETROLEUM CORP 0.93 % 6100476 130347.00
2317 HON HAI 1.51 % 6438564 201000.00
005387 Hyundai Motor Co 0.25 % 6148272 1594.00
ICICIGI ICICI LOMBARD GE 0.91 % BYXH7P9 28461.00
024110 INDUSTRIAL BANK OF KOREA 0.6 % 6462972 36108.00
INFO INFOSYS LTD 1.38 % 6205122 50598.00
3481 INNOLUX CORP 0.68 % B0CC0M5 1103000.00
3293 INTL GAMES 0.54 % 6744807 13000.00
INL INVESTEC LTD 0.67 % B17BBR6 65114.00
ITUB4 Itau Unibanco Holding SA 0.22 % B037HR3 22300.00
175330 JB FINANCIAL GROUP CO LTD 1.72 % BB96Z33 88517.00
JBSS3 JBS SA 1.06 % B1V74X7 102800.00
KBANK KASIKORNBANK PCL 0.56 % 6888783 77300.00
000270 KIA CORP 0.72 % 6490928 7549.00
2059 KING SLIDE WORKS CO LTD 0.71 % B01H720 7000.00
KTB KRUNG THAI BANK 0.43 % 6492827 428200.00
LPC LUPIN LTD 1.06 % 6143761 31077.00
MTELEKOM HB MAGYAR TELEKOM 1.19 % 4577469 162405.00
1477 MAKALOT INDUSTRIAL CO LTD 0.48 % 6580432 36440.00
MTM MOMENTUM GROUP LIMITED 1.37 % BK9S758 490318.00
MUTH MUTHOOT FINANCE LTD 0.52 % B40MFF3 14498.00
NPN NASPERS LTD-N SHS 1.3 % BN0VX82 3010.00
005940 NH INVESTMENT & 0.38 % 6537085 21632.00
NLMK NOVOLIPETSK STEEL PJSC 0 % B59FPC7 98630.00
OPAP OPAP SA 0.78 % 7107250 23087.00
OUT OUTSURANCE GROUP LTD 0.54 % BN6QSM0 84821.00
PAG PAGE INDUSTRIES LTD 0.66 % B1VJS64 812.00
PSYS PERSISTENT SYSTEMS LTD 1.22 % BLC87W9 12462.00
PHOR PHOSAGRO PJSC-GDR REG S 0 % B62QPJ1 22934.00
REDI REDINGTON LTD 1.14 % B1R3S15 252302.00
RHBBANK RHB BANK BHD 0.53 % 6244675 219700.00
RIYADHCA AB RIYADH CABLES GROUP CO 1.26 % BNBPXW7 23772.00
SALIK SALIK CO PJSC 0.8 % BJN5952 340929.00
005930 SAMSUNG ELECTRON 3.59 % 6771720 61672.00
SLM SANLAM LTD 0.22 % B0L6750 30932.00
CHMF SEVERSTAL PJSC 0 % B5B9C59 11625.00
000660 SK HYNIX INC 1.91 % 6450267 8743.00
017670 SK TELECOM 0.4 % 6224871 7129.00
3045 TAIWAN MOBILE CO LTD 1.02 % 6290496 178000.00
TCS TATA CONSULTANCY SVCS LTD 0.29 % B01NPJ1 4756.00
TPE TAURON POLSKA ENERGIA SA 1.41 % B5P7L41 487156.00
TECHM TECH MAHINDRA LTD 1.77 % BWFGD63 64259.00
TTB TMBTHANACHART BANK PCL 0.27 % 6887876 3126000.00
3044 TRIPOD TECHNOLOGY CORP 0.42 % 6305721 42000.00
2330 TSMC 14.68 % 6889106 308000.00
GARAN TURKIYE GARANTI BANKASI 0.33 % B03MYP5 77872.00
EXTRA UNITED ELECTRONICS CO 1.54 % B4P2SD7 46032.00
2404 UNITED INTEGRATE 1.62 % 6105136 61000.00
UNTR UNITED TRACTORS TBK PT 0.51 % 6230845 254400.00
UPLL UPL LTD 0.36 % B0L0W35 32968.00
2615 WAN HAI LINES LTD 0.33 % 6932334 57000.00
WPRO WIPRO LTD 0.49 % 6206051 113904.00
316140 WOORI FINANCIAL GROUP INC 1.6 % BGHWH98 80813.00
2609 YANG MING MARINE 1.02 % 6987583 251000.00

Important Information

Prospectus Disclosure

Carefully consider the Funds’ investment objectives, risks, and charges and expenses before investing. This and other information can be found in the Funds’ full or summary prospectus, which may be obtained by calling +1 (626) 407-4581 or visiting funds.rayliant.com

Please read the prospectus carefully before investing.

Risk of Investing

Investing involves risk, including the risk of total loss of principal. Please consider the risks outlined in the sections below before investing in the ETF.

Investment Objectives

There can be no assurance that an ETF will achieve its stated objectives.

Small Company Risk

Investments in smaller companies typically exhibit higher volatility.

Quantitative Investment Risk

Investments that are managed according to a quantitative model can perform differently from the market as a whole.

International Risk

International investments may involve risk of capital loss from unfavorable fluctuation in currency values, from differences in generally accepted accounting principles or from social, economic or political instability in other nations.

Emerging Markets Risk

Emerging markets risk assumes heightened risks to all the same factors within International Risk as well as increased volatility and lower trading volume.

Active Management Risk

The Adviser’s judgments about the attractiveness, value, or potential appreciation of the Fund’s investments may prove to be incorrect. The Fund may trade securities actively, which could increase its transaction costs (thereby lowering its performance) and could increase the amount of taxes you owe by generating short-term gains, which may be taxed at a higher rate.

Distributor

The Fund is distributed by SEI Investments Distribution Co. (SIDCO, 1 Freedom Valley Drive, Oaks, PA, 19456), which is not affiliated with the Fund’s adviser.