
T. Rowe Price Active Core International Equity ETF (TACN) ETF Ticker
Market factors today
Unlock the full TACN picture
About T. Rowe Price Active Core International Equity ETF
TACN actively manages a portfolio of large- and mid-cap companies in developed markets outside of North America. The selection process combines quantitative models with fundamental research, using a bottom-up approach that evaluates individual companies based on factors such as valuation, profitability, financial stability, earnings quality, management capital allocation, and near-term appreciation signals. The strategy aims for a moderate level of tracking error from the MSCI EAFA Index. While most holdings are drawn from the off-benchmark securities, the fund may include or exclude index constituents. The fund weights securities using a quantitative optimizer to help maintain geographic, sector, and volatility profiles, while making modest overweight and underweight adjustments to pursue excess returns.
TACN etf facts
| Ticker symbol | TACN |
| Exchange | New York Stock Exchange Arca |
| Sector | Financial Services |
| Industry | Asset Management |
| Market cap | $434.4M |
| CEO | Gary Berman |
| Employees | 1,020 |
| Headquarters | Baltimore, MD, US |
| IPO date | 2025-12-12 |
| Website | triconhomes.com |
What you can see for TACN on Tickr
Live TACN price chart with overlays, holdings, sector and country allocation, financial statements and consensus estimates, analyst ratings, catalysts, news with AI scoring, and an AI chat that has read the TACN report.
Rankings
FAQ
What is the ticker symbol for T. Rowe Price Active Core International Equity ETF?
The ticker symbol for T. Rowe Price Active Core International Equity ETF is TACN, listed on the New York Stock Exchange Arca.
What is TACN?
TACN actively manages a portfolio of large- and mid-cap companies in developed markets outside of North America. The selection process combines quantitative models with fundamental research, using a bottom-up approach that evaluates individual companies based on factors such as valuation, profitability, financial stability, earnings quality, management capital allocation, and near-term…