Overview
Name
Fund Family
Underlying Index
Inception Date
Exchange
Description
The BMO Low Volatility US Equity ETF has been designed to provide exposure to a low beta weighted portfolio of U.S. stocks. Beta measures the security's sensitivity to market movements. The ETF utilizes a rules based methodology to select the 100 least market sensitive stocks from a universe of U.S. large cap stocks. The underlying portfolio is rebalanced in June and reconstituted in December.
Investment Information
Managed Assets, $K
Shares Outstanding, K
Asset Class
60-Month Beta
Net Asset Value
Management Fee
Most Recent Dividend
Last Dividend Date
Dividend Yield
Has Options
20-Day Average Volume
52-Week RangeLow price45.57-High price56.19
YTD Return %
1-Year %Chg
3-Year %Chg
5-Year %Chg