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Matthews Asia Dividend Active ETF ADVE:NYSE Arca

Last Price Today's Change Today's Volume Schwab Report CardSchwab Report Card
$33.3479 +0.0667 (0.20%) 1,526 Above Avg. 
As of close 05/09/2025

Cumulative Growth of a $10,000 Investment as of 04/30/2025

Growth of 10K Chart

ADVE
Fund

$11,727
MSCI ACWI Ex USA NR USD$11,813
Broad-Based Index
Diversified Pacific/Asia$12,629
Morningstar Category
Best 3 Mo Return +11.9%
06/30/24-09/30/24
Worst 3 Mo Return -8.1%
09/30/24-12/31/24

Performance Returns as of 04/30/2025

 Annualized
Trend
1,3,5 Year
Cumulative ReturnsAnnualized Returns
DescriptionYTD1 Month3 Month6 Month1 Year3 Year5 YearInception
09/2023
ADVE Market Price
+2.6%+1.1%+3.7%-0.7%+10.2%----+10.0%
ADVE NAV
+2.4%+1.8%+2.2%-0.8%+9.5%----+9.8%
Diversified Pacific/Asia
Morningstar Category
+3.7%+2.1%+2.0%+0.9%+9.6%+4.9%+5.7%--
MSCI AC Asia Pacific NR USD
Broad-Based Index
+3.6%+2.7%+2.2%+1.3%+9.7%+6.0%+7.2%--
--
Best Fit Index
----------------
ADVE Performance Returns
Performance Returns Chart

Performance Returns

Matthews Asia Dividend Active ETF ADVE
+2.6%
YTD
04/2025

For standardized performance information, click the Summary page

Performance Returns

Diversified Pacific/Asia
+3.7%
YTD
04/2025

For standardized performance information, click the Summary page

Performance Returns

MSCI AC Asia Pacific NR USD
+3.6%
YTD
04/2025

For standardized performance information, click the Summary page

Performance Returns

Matthews Asia Dividend Active ETF ADVE
+1.1%
1 Month
03/2025

For standardized performance information, click the Summary page

Performance Returns

Diversified Pacific/Asia
+2.1%
1 Month
03/2025

For standardized performance information, click the Summary page

Performance Returns

MSCI AC Asia Pacific NR USD
+2.7%
1 Month
03/2025

For standardized performance information, click the Summary page

Performance Returns

Matthews Asia Dividend Active ETF ADVE
+3.7%
3 Month
01/2025

For standardized performance information, click the Summary page

Performance Returns

Diversified Pacific/Asia
+2.0%
3 Month
01/2025

For standardized performance information, click the Summary page

Performance Returns

MSCI AC Asia Pacific NR USD
+2.2%
3 Month
01/2025

For standardized performance information, click the Summary page

Performance Returns

Matthews Asia Dividend Active ETF ADVE
-0.7%
6 Month
10/2024

For standardized performance information, click the Summary page

Performance Returns

Diversified Pacific/Asia
+0.9%
6 Month
10/2024

For standardized performance information, click the Summary page

Performance Returns

MSCI AC Asia Pacific NR USD
+1.3%
6 Month
10/2024

For standardized performance information, click the Summary page

Performance Returns

Matthews Asia Dividend Active ETF ADVE
+10.2%
1 Year
04/2024

For standardized performance information, click the Summary page

Performance Returns

Diversified Pacific/Asia
+9.6%
1 Year
04/2024

For standardized performance information, click the Summary page

Performance Returns

MSCI AC Asia Pacific NR USD
+9.7%
1 Year
04/2024

For standardized performance information, click the Summary page

Performance Returns

Diversified Pacific/Asia
+4.9%
3 Year
04/2022

For standardized performance information, click the Summary page

Performance Returns

MSCI AC Asia Pacific NR USD
+6.0%
3 Year
04/2022

For standardized performance information, click the Summary page

Performance Returns

Diversified Pacific/Asia
+5.7%
5 Year
04/2020

For standardized performance information, click the Summary page

Performance Returns

MSCI AC Asia Pacific NR USD
+7.2%
5 Year
04/2020

For standardized performance information, click the Summary page

Performance Returns

Matthews Asia Dividend Active ETF ADVE
Inception
09/2023

For standardized performance information, click the Summary page

Diversified Pacific/Asia
Morningstar Category
MSCI AC Asia Pacific NR USD
Broad-Based Index

Rank within Category Total Return % as of 04/30/2025

Morningstar Category

Diversified Pacific/Asia

Rank within Category compares this fund's total annual return to that of other funds in the same category, and its figures are not adjusted for load, sales charges, or taxes.

 Cumulative ReturnsAnnualized Returns
Rank2025 YTD1 Month3 Month6 Month1 Year5 Year10 Year
Top 25%
 
 
Bottom 25%
 
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International investments involve additional risks, which include differences in financial accounting standards, currency fluctuations, geopolitical risk, foreign taxes and regulations, and the potential for illiquid markets. Investing in emerging markets may accentuate these risks.

  • Performance data quoted represents past performance and does not indicate future results. Current performance may be lower or higher. See the Performance tab for updated monthly returns. Investment value will fluctuate, and shares when redeemed may be worth more or less than original investment.
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  • Market Price is the price at which investors buy and sell ETF shares in the stock market. ETF Market Price determines investor returns. An ETF’s Market Price may be higher or lower than the NAV at any given point in time. Market price returns are based upon the Official Closing Price of the primary listing exchange (generally, 4:00 p.m. Eastern time) and may not represent the returns you would receive if shares were traded at other times.
  • NAV (Net Asset Value) is a per share valuation of the securities in an ETF officially calculated once per day. NAV price performance is primarily used to evaluate the fund and its managers and may not reflect the actual return for the investor.
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  • Morningstar proprietary ratings reflect historical risk-adjusted performance. For each fund with at least a 3-year history, Morningstar calculates a Morningstar Rating™ based on a Morningstar risk-adjusted return measure that accounts for variation in a fund’s monthly performance (including the effects of sales charges, loads and redemption fees), placing more emphasis on downward variations and rewarding consistent performance. (Each share class is counted as a fraction of 1 fund within this scale and rated separately, which may cause slight variations in the distribution percentages). The top 10% of the funds in an investment category receive 5 stars, 22.5% receive 4 stars, 35% receive 3 stars, the next 22.5% receive 2 stars, and the bottom 10% receive 1 star.
(1024-43GF, 1124-U2CM)